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MOLIYAVIY INVESTITSIYALARNI SHAKLLANTIRISHDA RISK, DAROMADLILIK VA LIKVIDLIKNING O‘ZARO BOG‘LIQLIGI

Dilafruz Primova

GREEN ECONOMY AND DEVELOPMENT, 2026, vol. 4, 306-307

Abstract: Tezisda moliyaviy investitsiyalarni shakllantirishda risk, daromadlilik va likvidlikmezonlarining o‘zaro bog‘liqligi nazariy jihatdan tahlil qilingan. Portfel tanlovida maksimal daromadgaerishish emas, balki riskka moslashtirilgan daromadlilik va yetarli likvidlikni ta’minlash zarurligi asoslangan.Diversifikatsiya va monitoring mazkur uch mezon o‘rtasidagi muvozanatni saqlashning muhim vositalarisifatida baholangan.

Keywords: moliyaviy investitsiya; risk; daromadlilik; likvidlik; investitsiya portfeli; diversifikatsiya; monitoring; investitsiya strategiyasi (search for similar items in EconPapers)
Date: 2026
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Persistent link: https://EconPapers.repec.org/RePEc:teu:ged000:v:4:y:2026:id:12191

DOI: 10.5281/zenodo.22654201

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