473 474
Full Length Article
American Journal of Business and Operations Research
Volume 9 , Issue 1, PP: 26-32 , 2023 | Cite this article as | XML | Html |PDF

Title

Influence of Risk Management on Financial Performance of “Uzbekinvest” Insurance Company

  Sherkulov S. E. ugli 1 *

1  Fundamental economics department, Tashkent State University of Economics, Uzbekistan
    (sherkulovshokhrukh@gmail.com)


Doi   :   https://doi.org/10.54216/AJBOR.090103

Received: August 08, 2022 Accepted: January 17, 2023

Abstract :

Risk if not well managed could lead to collapse for most organizations especially those whose core business deals with day-to-day handling of risk. Risk management should, therefore, be at the core of an organization’s operations by integrating risk management practices into processes, systems, and culture of the entire organization. This involves identifying and analyzing risks, developing, and implementing risk handling techniques and monitoring the progress of these to avoid and/or reduce the impact of risk on the financial performance of the company. Furthermore, insurance company under concern should follow current international leading practice by adopting Enterprise Risk Management (ERM) which incorporates other insurance risk quantification models. This will ensure that the companies remain afloat during such times of strict regulatory regimes such as solvency 11 and Basel.

Keywords :

Risk management; business , insuranc; business; risk exposure; financial performance; risk tools; future outcome; risk assessment; profitability , monitoring; return on equity; financial crisis; export-import.

References :

[1]  Froot, K., Scharfstein, D. & Stein, J. (1993). A Framework for Risk Management, 

[2]  Journal of Applied Corporate Finance, 7, 22-32.

[3]  Gold, G. (1999). The Valuation  of Risk Assets and the Selection of Risky 

[4]  Investments in Stock Portfolios and Capital Budgets. Review of 

[5]  Economics and Statistics, 47 (1), 13-37.

[6]  Iqbal Z. & Mirakhor A. (2007). An Introduction to Islamic Finance: Theory and Practice, 2 nd , Edition.

[7]  Kadi, A.M. (2003). Basic Conditions and Procedures in Insurance. The Accountant, 13 (3), 16-19.

[8]  Magezi, J.K. (2003). A New Framework for Measuring the Credit Risk of a Portfolio. Institute for Monetary and Economic Studies (IMES), 1-45.

[9]  Merton, R.C. (1995). A Functional Perspective of Financial Intermediation, Financial Management Journal, 24 (2), 23-41.

[10]  Mikes A. & R.S Kaplan. (2014).Towards a contingency. Theory of Enterprise Risk Management. Working Paper 13-063. 

[11]  Pagach, D. P. & Warr, R.S. (2010). The Effects of Ent erprise Risk Management on Firm Performance. Available at SSRN: http://ssrn.com/abstract=1155218.

[12]  Pagano, M.S. (2001). How Theories of Financial Intermediation and Corporate Risk-Management Influence Bank Risk-taking Behavior, Financial Markets, Institutions and Instruments, 10 (5), 277 -323.

[13]  Warner, J. (1977). Bankruptcy Costs: Some Evidence. Journal of Finance. 32, 337-347.

[14]  Weiss, L. (1990). Bankruptcy Resolution: Direct Costs and Violation of Priority Claims. Journal of Finance and Economics, 27, 285-314. 


Cite this Article as :
Style #
MLA Sherkulov S. E. ugli. "Influence of Risk Management on Financial Performance of “Uzbekinvest” Insurance Company." American Journal of Business and Operations Research, Vol. 9, No. 1, 2023 ,PP. 26-32 (Doi   :  https://doi.org/10.54216/AJBOR.090103)
APA Sherkulov S. E. ugli. (2023). Influence of Risk Management on Financial Performance of “Uzbekinvest” Insurance Company. Journal of American Journal of Business and Operations Research, 9 ( 1 ), 26-32 (Doi   :  https://doi.org/10.54216/AJBOR.090103)
Chicago Sherkulov S. E. ugli. "Influence of Risk Management on Financial Performance of “Uzbekinvest” Insurance Company." Journal of American Journal of Business and Operations Research, 9 no. 1 (2023): 26-32 (Doi   :  https://doi.org/10.54216/AJBOR.090103)
Harvard Sherkulov S. E. ugli. (2023). Influence of Risk Management on Financial Performance of “Uzbekinvest” Insurance Company. Journal of American Journal of Business and Operations Research, 9 ( 1 ), 26-32 (Doi   :  https://doi.org/10.54216/AJBOR.090103)
Vancouver Sherkulov S. E. ugli. Influence of Risk Management on Financial Performance of “Uzbekinvest” Insurance Company. Journal of American Journal of Business and Operations Research, (2023); 9 ( 1 ): 26-32 (Doi   :  https://doi.org/10.54216/AJBOR.090103)
IEEE Sherkulov S. E. ugli, Influence of Risk Management on Financial Performance of “Uzbekinvest” Insurance Company, Journal of American Journal of Business and Operations Research, Vol. 9 , No. 1 , (2023) : 26-32 (Doi   :  https://doi.org/10.54216/AJBOR.090103)