MOLIYAVIY RISKLAR VA ULARNI XALQARO MIQYOSDA BOSHQARISH USULLARI
Bobur Toirov and
F.U.Umarov
GREEN ECONOMY AND DEVELOPMENT, 2026, vol. 4
Abstract:
Mazkur maqolada moliyaviy risklarni boshqarish va baholashning kompaniyalar istiqbolli prognozlarini ishlabchiqishdagi ahamiyati yoritilgan. Xalqaro amaliyotda qo‘llanilayotgan moliyaviy risklarni baholash standartlari hamdaularning iqtisodiy mazmuni tahlil qilingan. Shuningdek, moliyaviy risklarni boshqarishning muhim xususiyatlari asoslabberilgan. Tadqiqot natijasida O‘zbekiston iqtisodiyotida risk menejmentini yanada takomillashtirishga qaratilgan ilmiytakliflar va amaliy tavsiyalar ishlab chiqilgan.
Keywords: risk menejmenti; investitsion faoliyat; moliyaviy barqarorlik; kapital; moliya; samaradorlik; moliyaviy instrumentlar; korporativ moliya; baholash (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:9639
DOI: 10.5281/zenodo.19276215
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