Increasing the Possibility of Management of Loan Portfolio Analysis in Commercial Banks

Authors

  • Gaibullaev Rakhim Murodovich Professor Samarkand Institute of Economics and Service, Doctor of Economics, Uzbekistan
  • Isabekov Akmalbek Komolboevich Magistr of the Samarkand Institute of Economics and Service, Uzbekistan

DOI:

https://doi.org/10.51699/ajdes.v17i.492

Keywords:

commercial banks, credit, loan portfolio, valuation, credit risk, liquidity

Abstract

This The article examines the theoretical views on the loan portfolio of commercial banks, ways to improve the efficiency of loan portfolio management of commercial banks in Uzbekistan, the analysis of quality management methods and thus the development of the lending system.

References

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Published

2022-05-11

How to Cite

Murodovich, G. R. ., & Komolboevich, I. A. . (2022). Increasing the Possibility of Management of Loan Portfolio Analysis in Commercial Banks. Academic Journal of Digital Economics and Stability, 17, 30–35. https://doi.org/10.51699/ajdes.v17i.492

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Section

Articles