Improving Bank Loan Portfolio Quality Management

Authors

  • Gaibullaev Rakhim Murodovich Professor Samarkand Institute of Economics and Service, Doctor of Economics, Uzbekistan
  • Nuriddinov Jahongir Magistr of the Samarkand Institute of Economics and Service, Uzbekistan

DOI:

https://doi.org/10.51699/ajdes.v15i.435

Keywords:

commercial bank, credit, bank loan portfolio, credit risk I, problem loans, liquidity

Abstract

This The article examines the methods of assessing the loan portfolio of commercial banks in Uzbekistan and the analysis of its criteria, as well as improving its methodology by classifying the bank loan portfolio by form and type, and thus explores the development of the lending system.

References

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Published

2022-03-11

How to Cite

Murodovich, G. R. ., & Jahongir, . . N. (2022). Improving Bank Loan Portfolio Quality Management . Academic Journal of Digital Economics and Stability, 15, 54–60. https://doi.org/10.51699/ajdes.v15i.435

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Section

Articles