MEASURES TO IMPROVE THE EFFECTIVENESS OF INTEREST RATE RISK MANAGEMENT IN COMMERCIAL BANKS OF UZBEKISTAN

Authors

  • Latifov Anvar Axmatovich Banking and finance academy of the Republiс of Uzbekistan Author

Keywords:

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Abstract

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References

Basel Committee on Banking Supervision. (2019). Principles for the management and supervision of interest rate risk. Bank for International Settlements.

Central Bank of Uzbekistan. (2022). Annual report on financial stability. Tashkent: Central Bank of Uzbekistan.

Jorion, P. (2007). Value at Risk: The new benchmark for managing financial risk (3rd ed.). McGraw-Hill.

Saunders, A., & Cornett, M. M. (2018). Financial institutions management: A risk management approach (9th ed.). McGraw-Hill Education.

Tsaih, R., Huang, T., & Hsu, H. (2018). Big data analytics and artificial intelligence in the financial industry. Journal of Management Information Systems, 35(1), 220-265.

Published

2024-09-30