MANAGEMENT OF FOREIGN EXCHANGE AND CONCENTRATION RISKS IN THE OPERATIONS OF COMMERCIAL BANKS

Authors

  • Qurbonov Ilhom Jumaqulovich

DOI:

https://doi.org/10.5281/zenodo.21288244

Abstract

The article analyses issues of managing foreign exchange risk and concentration risk in the banking system of the
Republic of Uzbekistan. It examines the dynamics of the share of foreign currency in the key indicators of the banking system and
major commercial banks. The findings substantiate control values for identifying concentration risk and measures for reducing
currency risk.

Keywords

foreign exchange risk, concentration risk, open currency position, hedging, diversification, foreign-currency assets

References

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Published

2026-07-01

How to Cite

Qurbonov , I. (2026). MANAGEMENT OF FOREIGN EXCHANGE AND CONCENTRATION RISKS IN THE OPERATIONS OF COMMERCIAL BANKS. Innovation Science and Technology, 2(7), 26–28. https://doi.org/10.5281/zenodo.21288244
Vol. 2 No. 7 (2026): Innovation Science and Technology