Eurasian Journal of Academic Research 5-jild 3-son (2025) · 27–30-betlar
FINANCIAL RISKS AND PROTECTION FROM THEM (USING THE EXAMPLE OF UZBEKISTAN AND CENTRAL ASIAN COUNTRIES)
Комилова, Муяссар, Насиров, Абдулло
DOI: 10.5281/zenodo.15018281 · Manbada o'qish → · PDF (manba serverida)
Annotatsiya
The article analyzes key financial risks faced by Central Asian countries, including Uzbekistan, and discusses strategies for their minimization. A comparative analysis of risk management approaches in the region is conducted, highlighting successful practices and offering recommendations to enhance the resilience of financial systems. Special attention is given to the development of fintech, economic diversification, improvement of legal regulation, and increasing financial literacy. In addition, aspects of international cooperation and their impact on regional stability are explored.
Financial risks, risk management, Uzbekistan, Central Asia, fintech, economic resilience, international cooperation.Финансовые риски, управление рисками, Узбекистан, Центральная Азия, финтех, экономическая устойчивость, международное сотрудничество.
Metadata manbasi: jurnal OAI-PMH arxivi · Sindex to'liq matnni saqlamaydi, manbaga havola beradi.