Илғор иқтисодиёт ва педагогик технологиялар Том 2 № 2 (2025) · с. 148-156
FINANCIAL RISKS: WAYS TO REDUCE AND MANAGEMENT METHODS
Abdusamatov, Rustam, Абдусаматов, Рустам, Абдусаматов, Рустам
Аннотация
The article is devoted to the study of financial risks, their classification and management methods. Key types of risks, such as credit, currency and interest rate, as well as their impact on financial activities are considered. Risk management methods are described, including diversification, hedging, insurance and reserve creation. Attention is paid to modern technologies, such as blockchain and artificial intelligence, which help reduce risks and increase business resilience in the face of uncertainty and changes in the external environment.
financial risksrisk classificationrisk management methodsdiversificationinsuranceфинансовые рискиклассификация рисковметоды управления рискамидиверсификациястрахование
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