MOLIYAVIY RISKLARNI BAHOLASHDA EHTIMOLLAR NAZARIYASINING QO’LLANILISHI

Authors

  • Ashurov Bakhtiyor Iskandarovich Author

Keywords:

Keywords: moliyaviy risk, ehtimollar nazariyasi, baholash, boshqarish.

Abstract

Annonation:  Ushbu  maqola  moliyaviy  risklarni  baholashda  ehtimollar 
nazariyasining  ahamiyatini  o‘rganadi.  Ehtimollar  nazariyasi  yordamida  moliyaviy 
risklarni aniq baholash va boshqarish usullari ko‘rib chiqiladi. 

References

1. Ross, S. A., Westerfield, R. W., & Jaffe, J. (2016). Corporate Finance.

2. Hull, J. C. (2017). Options, Futures, and Other Derivatives.

3. Black, F., & Scholes, M. (1973). The Pricing of Options and Corporate

Liabilities.

4. Crouhy, M., Galai, D., & Mark, R. (2001). Risk Management.

5. Jorion, P. (2007). Financial Risk Manager Handbook.

6. McNeil, A. J., Frey, R., & Embrechts, P. (2015). Quantitative

Risk Management.

Published

2026-06-05

How to Cite

Ashurov Bakhtiyor Iskandarovich. (2026). MOLIYAVIY RISKLARNI BAHOLASHDA EHTIMOLLAR NAZARIYASINING QO’LLANILISHI . Ta’lim Innovatsiyasi Va Integratsiyasi, 70(4), 377-386. https://journalss.org/index.php/tal/article/view/32396