This article examines the modeling of climate change-related financial risks in Uzbekistan. Based on official reports from the World Bank, Asian Development Bank (ADB), United Nations Development Programme (UNDP) and the Central Bank of Uzbekistan, the country's vulnerability level to climate change is determined and the current state of climate risk management in the banking sector is assessed. The physical and transition components of climate risks and practical possibilities for their modeling using stress testing and Climate VaR methodologies are explored. Based on the research findings, scientific conclusions and practical recommendations for integrating climate risks into Uzbekistan's financial system and developing green finance are formulated
| Mualliflar | Baratov , Sa’dulla, Jurayev , Behzod, Баратов , Саъдулла, Жураев , Бехзод, Baratov , Sa’dulla, Jurayev , Behzod |
|---|---|
| Jurnal | Илғор иқтисодиёт ва педагогик технологиялар |
| Nashr sanasi | 2026-04-30 |
| Jild | 3 |
| Son | 2 |
| Betlar | 400-407 |
| Til | O‘zbek |
| DOI | 10.60078/3060-4842-2026-vol3-iss2-pp400-407 |
DOI: 10.60078/3060-4842-2026-vol3-iss2-pp400-407 · Maqolaning asl sahifasi
climate risks, financial risk management, green finance, stress test, Climate VaR, transition risks, banking sector, ESG, sustainable development, Uzbekistan, климатические риски, финансовый риск-менеджмент, зелёные финансы, стресс-тест, климатический VaR, риски перехода, банковский сектор, ESG, устойчивое развитие, iqlim xatarlari, moliyaviy risk-menejment, yashil moliya, stress test, iqlimiy VaR, o‘tish xatarlari, bank sektori, ESG, barqaror rivojlanish
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