id	author	title	date	pages	extension	mime	words	sentence	flesch	summary	cache	txt
ajbmeb-2954	Tugalov Bobur	TOPICAL ISSUES OF MANAGING CURRENCY RISKS OF COMMERCIAL BANKS	2025	5	.pdf	application/pdf	2151	93	42	Conclusions and Suggestions We have formulated the following conclusions regarding the management of foreign exchange risks of commercial banks: *the exclusive use of market mechanisms in establishing the exchange rate of the national currency in relation to foreign currency, increasing the role of market instruments in the use of foreign exchange resources, and creating equal competitive conditions in the foreign exchange market for all economic entities are priority areas for the liberalization of foreign exchange policy, which necessitates the improvement of the practice of managing foreign exchange risks in commercial banks; *the following are financial instruments of the currency risk hedging market: currency forwards, currency futures, currency swaps, currency options; *an increase in the volume of conversion operations for the purchase and sale of foreign currencies on the foreign exchange market will lead to an increase in the risk of the foreign exchange position in commercial banks; *bank currency risk management is a system of development, adoption and implementation of decisions on the impact on currency risk in order to prevent, limit or minimize losses associated with it; *in Uzsanoatqurilishbank, the value of open currency positions in 2021-2023 tended to decrease. The article identifies current problems associated with the management of foreign exchange risks of commercial banks and develops scientific proposals aimed at solving these problems.	cache/ajbmeb-2954.pdf	txt/ajbmeb-2954.txt
