FINANCIAL RISKS IN THE DIGITAL ECONOMY

Abdusamatov , Rustam, Абдусаматов , Рустам, Абдусаматов , Рустам

Иқтисодий тараққиёт ва таҳлил · 2025-yil

Annotatsiya

This article is devoted to the study of financial risks, their classification and management methods. The study examines various types of financial risks, such as credit, currency, interest rate, investment and others, as well as the principles of their systematization and the importance of the right approach to their management. The importance of risk classification for more accurate analysis and development of strategies to reduce them is considered.

Maqola ma’lumotlari
MualliflarAbdusamatov , Rustam, Абдусаматов , Рустам, Абдусаматов , Рустам
JurnalИқтисодий тараққиёт ва таҳлил
Nashr sanasi2025-03-28
Jild3
Son3
Betlar267-274
TilRus
DOI10.60078/2992-877x-2025-vol3-iss3-pp267-274

Kalit so‘zlar

financial risks, risk classification, risk management, credit risk, currency risk, interest rate risk, investment risk, risk management methods, финансовые риски, классификация рисков, управление рисками, кредитный риск, валютный риск, процентный риск, инвестиционный риск, методы управления рисками, молиявий рисклар, рисклар классификацияси, рискларни бошқариш, кредит риски, валюта риски, фоиз риски, инвестиция риски, рискларни бошқариш усуллари

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