Academic literature on the topic 'Kredit portfeli'

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Journal articles on the topic "Kredit portfeli"

1

Eldor, Jo'rayev. "Tijorat banklarida kredit portfelini boshqarishning asosiy yo'nalishlari." «Yashil iqtisodiyot va taraqqiyot» jurnali 3, no. 1 (2025): 6–9. https://doi.org/10.5281/zenodo.15161981.

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Tijorat banklarining turli davlatlarda kreditlash jarayonida yuzaga kelayotgan risklarni kamaytirish,kreditlashdan daromadlilikni oshirish, bank likvidliligini ta’minlash, muammoli kreditlarning ulushini kamaytirish, tijoratbanklarida kredit portfelini samarali tashkil etishning innovatsion yondashuvlarini ishlab chiqish muhim vazifa bo‘libqolmoqda. Kredit portfelini shakllantirish va portfel sifatini baholash bank faoliyatining asosiy yo‘nalishlaridan biridir.Optimal, sifatli kredit portfeli bankning likvidligi va ishonchliligiga katta ta’sir qiladi.
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Olimjon, Ruzimuratov. "Tijorat banklarining kredit portfelini samarali boshqarish asoslari va takomillashtirish istiqbollari." Yashil iqtisodiyot va taraqqiyot 2, no. 12 (2024): 9–13. https://doi.org/10.5281/zenodo.14610258.

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Ushbu maqolada tijorat banklarida kredit portfelini tashkil etishning nazariy asoslari, bu boradagi xorijiy vamahalliy olimlarning tadqiqotlari va ularga mualliflik yondoshuvi, kredit portfelini samarali boshqarish tamoyillari, ularningxususiyatlari, kredit portfelini boshqarishning asosiy yo‘nalishlari va vazifalari tadqiq etilgan.Shuningdek, mamlakatimiz tijorat banklarining kreditlash faoliyati, kredit portfelining sohalar va tarmoqlar kesimidataqsimlanishi, mijozlar kesimida, xususan, jismoniy va yuridik shaxslar kesimida kredit portfeli holati tahlil qilingan, kreditportfelini samar
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3

Valikulova, Aziza Voxid qizi. "TIJORAT BANKLARINING KREDIT OPERATSIYALARI VA KREDIT PORTFELI TAHLILI." INTERNATIONAL SCIENCES, EDUCATION AND NEW LEARNING TECHNOLOGIES 1, no. 6 (2024): 4–7. https://doi.org/10.5281/zenodo.11047566.

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<em>Tijorat banklarining faoliyatida kredit operatsiyalari va kredit portfeli tahlili asosiy ustuvor yo&lsquo;nalishlardan hisoblanadi. Kredit portfeli tahlilini samarali olib borish banklarning kredit faoliyatiga ijobiy ta&rsquo;sir ko&lsquo;rsatadi. Quyida kredit portfelining ahamiyati, uni boshqarish, qonuniy asoslari va statistik tahlili bo&lsquo;yicha fikr yuritilgan. </em>
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Tursunov, Ilxom Toirovich. "TIJORAT BANKLARI KREDIT PORTFELINI OPTIMALLASHTIRISH ORQALI MOLIYAVIY BARQARORLIKNI TA'MINLASH." MOLIYA TIZIMINI RIVOJLANTIRISHNING ZAMONAVIY TENDENSIYALARI VA ISTIQBOLLARI 1, no. 4 (2024): 801–6. https://doi.org/10.5281/zenodo.11401517.

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Annotatsiya. Mazkur ilmiy tijorat banklari kredit portfelini optimallashtirish orqali ularni moliyaviy barqarorligini ta&rsquo;minlashning ustuvor jihatlari bayon etilgan. O&lsquo;zbekiston Respublikasida faoliyat yuritayotgan tijorat banklarining kredit portfeli va undagi muammoli kreditlarning ulushi bo&lsquo;yicha amaliy ma&rsquo;lumotlar keltirilgan. Shuningdek, tijorat banklari kredit portfelini optimallashtirishga doir ilmiy takliflar keltirilgan.
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5

Dinara, Mirtursunova. "Tijorat banklarida kredit riskini boshqarish mexanizmlarini takomillashtirish yo'nalishlari." «Yashil iqtisodiyot va taraqqiyot» jurnali 3, no. 5 (2025): 7–10. https://doi.org/10.5281/zenodo.15493708.

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Ushbu maqolada tijorat banklarida kredit risklarini boshqarish mexanizmlarining amaldagi holati tahlilqilinib, ularni takomillashtirish yo&lsquo;nalishlari bo&lsquo;yicha takliflar ilgari surilgan. Rivojlangan mamlakatlar tajribasiga tayanilganholda kredit portfeli sifatini oshirish, risklarni baholashda zamonaviy iqtisodiy modellarni qo&lsquo;llash, stress-testlar va ichkireyting tizimlarini joriy etish zarurligi asoslab berilgan. Shuningdek, kredit sug&lsquo;urtasi, portfelni diversifikatsiya qilish vaavtomatlashtirilgan monitoring vositalari orqali kredit risklarini kamaytirish mexanizmlari
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6

Saidov, Hayotjon. "O‘ZBEKISTON RESPUBLIKASINING TIJORAT BANKLARIDA MUAMMOLI KREDITLARNI BOSHQARISHNING ZAMONAVIY USULLARI." Ilgʻor iqtisodiyot va pedagogik texnologiyalar 2, no. 1 (2025): 42–48. https://doi.org/10.60078/3060-4842-2025-vol2-iss1-pp42-48.

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Mazkur maqolada bankning kredit siyosati, uning bank resurslarini joylashtirishdagi o‘rni, tijorat banklari kredit siyosatining mezonlari va muammoli kreditlarni boshqarishning zamonaviy usullari haqida so‘z boradi. Shuningdek, maqola davomida tijorat banki kredit portfeli, uning mohiyati va shakllanishi masalalariga ham alohida to‘xtalib o‘tilgan.
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7

L.Ergasheva. "MUAMMOLI KREDITLAR VA UNI MONITORING QILISH TARTIBI." Innovative Development in Educational Activities 2, no. 5 (2023): 299–302. https://doi.org/10.5281/zenodo.7743509.

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<em>Ushbu maqola O&lsquo;zbekiston Respublikasida faoliyat olib borayotgan tijorat banklarida kredit monitoringgi va muammoli kreditlar haqida bo&lsquo;lib,unda bugungi kundagi tijorat banklari kredit portfeli monitoringgidagi kamchiliklar, yutuqlar va xorij tajribasini qo&lsquo;llashda qaysi jihatlari mamlakatimiz iqtisodiy muhiti uchun munosib ekanligi haqida qisqacha fikr bildirilgan.</em>
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8

L.Ergasheva. "MUAMMOLI KREDITLAR VA UNI MONITORING QILISH TARTIBI." Innovative Development in Educational Activities 2, no. 7 (2023): 502–6. https://doi.org/10.5281/zenodo.7832015.

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<em>Ushbu maqola O&lsquo;zbekiston Respublikasida faoliyat olib borayotgan tijorat banklarida tijorat banklarida amlga oshirilayotgan kredit monitoringgi amaliyoti haqida bo&lsquo;lib, unda bugungi kundagi tijorat banklari kredit portfeli monitoringgidagi kamchiliklar, yutuqlar va xorij tajribasini qo&lsquo;llashda qaysi jihatlari mamlakatimiz iqtisodiy muhiti uchun munosib ekanligi haqida qisqacha fikr bildirilgan.</em>
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9

Mirodil, Xolmatov. "Tijorat banklarida kredit amaliyotini takomillashtirish istiqbollari." Yashil iqtisodiyot va taraqqiyot 3, no. 1 (2025): 8–12. https://doi.org/10.5281/zenodo.14778028.

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Ushbu maqola tijorat banklarida kredit amaliyotini takomillashtirish istiqbollari mavzusini o&lsquo;rganadi. Kreditoperatsiyalari banklarning moliyaviy faoliyatida muhim o&lsquo;rin tutadi, chunki ular bankning daromadlarini shakllantiradihamda iqtisodiyotni rivojlantirishda muhim rol o&lsquo;ynaydi. Hozirgi kunda tijorat banklarining kredit portfeli bir nechtaomillarga ta'sir qilishi mumkin, iqtisodiy o&lsquo;zgarishlar, siyosiy barqarorlik va texnologik yangiliklar shular jumlasidandir.Maqolada banklarning kredit strategiyalarini takomillashtirishga qaratilgan yangi yondashuvlar va metodlar,
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10

Turopova, Nigora Xolmurod qizi. "IPOTEKA (UY JOY XIZMATLARI) BOZORINI SHAKLLANTIRISHDA AHOLINI UY-JOY BILAN TA'MINLASH HOLATI TAHLILI." TECHNICAL SCIENCE RESEARCH IN UZBEKISTAN 2, no. 1 (2024): 260–65. https://doi.org/10.5281/zenodo.10589670.

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Dissertations / Theses on the topic "Kredit portfeli"

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Citavičiūtė, Aistė. "Kreditų portfelio rizikos valdymas." Master's thesis, Lithuanian Academic Libraries Network (LABT), 2005. http://vddb.library.lt/obj/LT-eLABa-0001:E.02~2005~D_20050603_130136-54323.

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This master‘s final paper formulates problems of the commercial banks‘ credit portfolio risk management. It analyzes theoretical methods to manage credit portfolio risk conducted by various Lithuanian and foreign authors. It also analyses „NORD/LB Lietuva“ bank credit portfolio risk management: principles of credit portolio formation, credit risk management in the process of granting loans, credit portfolio risk management in the process of monitoring, management of default credits and requirements for the credit indemnity. This paper offers ways to impove credit portfolio risk management in t
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2

Stankus, Tadas. "Kreditų portfelio rizikos valdymas DnB NORD banko pavyzdžiu." Master's thesis, Lithuanian Academic Libraries Network (LABT), 2007. http://vddb.library.lt/obj/LT-eLABa-0001:E.02~2007~D_20070816_163352-66363.

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Magistro darbe yra apibrėžtos pagrindinės komercinių bankų kreditų portfelio rizikos valdymo problemos. Išnagrinėjus Lietuvos ir užsienio autorių literatūrą, pateikti paskolų portfelio sudarymo, rizikos valdymo metodai ir jų praktinės pritaikymo galimybės komerciniuose bankuose. Analitinėje darbo dalyje pateikiami DnB NORD banko paskolų portfelio formavimo bei rizikos valdymo ypatumai. Taip pat pateikiamos paskolų portfelio rizikos valdymo tobulinimo kryptys, akcentuojant kredito, likvidumo ir palūkanų normos kitimo rizikas.<br>In this master’s final paper are defined main problems of commerce
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3

Kolman, Marek. "Pricing and modeling credit risk." Doctoral thesis, Vysoká škola ekonomická v Praze, 2017. http://www.nusl.cz/ntk/nusl-264720.

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The thesis covers a wide range of topics from the credit risk modeling with the emphasis put on pricing of the claims subject to the default risk. Starting with a separate general contingent claim pricing framework the key topics are classified into three fundamental parts: firm-value models, reduced-form models, portfolio problems, with a possible finer sub-classification. Every part provides a theoretical discussion, proposal of self-developed methodologies and related applications that are designed so as to be close to the real-world problems. The text also reveals several new findings from
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4

Gehrlein, Stefan. "Die Veräußerung und Übertragung eines Kreditportfolios unter der Berücksichtigung der Übertragungsstrukturen, des Bankgeheimnisses und des Datenschutzes /." Baden-Baden : Nomos, 2007. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=015484843&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.

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5

Pacovský, Matěj. "Výpočet korelace v úvěrovém portfoliu a její vliv na celkové kreditní riziko portfolia." Master's thesis, 2015. http://www.nusl.cz/ntk/nusl-337247.

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In recent years many works employed the topic of the estimation of the asset value correlation from the portfolio of debtors and their properties. The results vary depending on the methods used or the data sets, on which the model was applied. The Master Thesis describes the methods of estimation of the asset value correlation from 5-year default performance of small and medium-sized enterprise (SME) debtors of Komercni Banka. Each method is firstly described in detail and then applied. Estimations of the asset value correlation are performed in rating and industrial homogeneous group. The con
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Books on the topic "Kredit portfeli"

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Hibbeln, Martin. Risk management in credit portfolios: Concentration risk and Basel II. Physica, 2010.

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Hibbeln, Martin. Risk Management in Credit Portfolios: Concentration Risk and Basel II. Physica, 2010.

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Hibbeln, Martin. Risk Management in Credit Portfolios: Concentration Risk and Basel II. Physica-Verlag, 2012.

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Book chapters on the topic "Kredit portfeli"

1

Knapp, Michael, and Alfred Hamerle. "Multi-Faktor-Modell zur Bestimmung segmentspezifischer Ausfallwahrscheinlichkeiten für die Kredit-Portfolio-Steuerung." In Informationssysteme in der Finanzwirtschaft. Springer Berlin Heidelberg, 1998. http://dx.doi.org/10.1007/978-3-642-60327-3_26.

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