This article examines the historical evolution of capital market theory, its modern development trends, and the fundamental regularities of market mechanisms within the global financial system. The study explores theoretical and practical aspects of diversification, risk–return relationships, price formation mechanisms, information transparency, liquidity, and investor behavior. Differences between developed and emerging markets, the growing impact of digital technologies and artificial intelligence on capital market models, and the specific features of Uzbekistan’s capital market are also analyzed. The findings demonstrate that although capital market theory has universal principles, it must be adapted to the institutional environment of each country
| Mualliflar | Sodikov , Zokir, Содиков , Зокир, Sodikov , Zokir |
|---|---|
| Jurnal | Илғор иқтисодиёт ва педагогик технологиялар |
| Nashr sanasi | 2025-11-30 |
| Jild | 2 |
| Son | 6 |
| Betlar | 272-278 |
| Til | O‘zbek |
| DOI | 10.60078/3060-4842-2025-vol2-iss6-pp272-278 |
DOI: 10.60078/3060-4842-2025-vol2-iss6-pp272-278 · Maqolaning asl sahifasi
capital market, capital market theory, diversification, risk–return, information transparency, liquidity, asset pricing models, investor behavior, digital finance, artificial intelligence, market capitalization, developed markets, emerging markets, рынок капитала, теория рынка капитала, диверсификация, риск–доходность, прозрачность информации, ликвидность, поведение инвесторов, модели оценки активов, цифровые финансы, искусственный интеллект, капитализация, развитые рынки, развивающиеся рынки, kapital bozori, kapital bozori nazariyasi, diversifikatsiya, risk-rentabellik, axborot shaffofligi, likvidlik, investor xulqi, aktivlarni baholash modellari, raqamli moliya, sun’iy intellekt, kapitalizatsiya, rivojlangan bozorlar, rivojlanayotgan bozorlar
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