FORMATION AND MANAGEMENT OF THE INVESTMENT PORTFOLIO OF A COMMERCIAL BANK

Authors

  • Mullabayev Baxtiyarjon Bulturbayevich Namangan Engineering Construction Institute Doctor of Philosophy in Economics (Phd) Namangan, Republic of Uzbekistan
  • Nizomiddinov G‘ovsiddin Namangan Institute of Engineering and Technology, Department of Economics, Master of Group 14M-20

DOI:

https://doi.org/10.17605/OSF.IO/TBFDH

Keywords:

investment portfolio, profitability and risk, investment portfolio structure, stages of investment portfolio formation, Markowitz model.

Abstract

The article discusses the issues of investment portfolios of commercial banks in the formation and management. Particular attention is given to risk management issues in the formation of investment portfolios

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Published

11-02-2021

How to Cite

[1]
Mullabayev Baxtiyarjon Bulturbayevich and Nizomiddinov G‘ovsiddin, “FORMATION AND MANAGEMENT OF THE INVESTMENT PORTFOLIO OF A COMMERCIAL BANK”, IEJRD - International Multidisciplinary Journal, vol. 6, no. ICDSIIL, p. 5, Feb. 2021.

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