The Issue of Risk in Lending and Ways to Minimize it

Authors

  • Sharbat Abdullaeva Tashkent Financial Institute, Department of Banking, Prof
  • Nozima Abdullaeva Tashkent Financial Institute, Doctoral Researcher

Keywords:

bank, credit, risk, bank risks, cost, losses

Abstract

The article is devoted to the issues of improving the mechanism for assessing and managing banking risks using the foreign VaR (Value at risk) methodology in the activities of commercial banks.

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Published

2024-02-25

How to Cite

Abdullaeva, S., & Abdullaeva, N. (2024). The Issue of Risk in Lending and Ways to Minimize it. American Journal of Public Diplomacy and International Studies (2993-2157), 2(2), 406–409. Retrieved from http://grnjournal.us/index.php/AJPDIS/article/view/3346