FINANCIAL MARKET STABILITY DURING PANDEMICS: INSIGHTS FROM HISTORICAL CRISES AND STRATEGIES FOR FUTURE RESILIENCE

Kuvatova Oliya Sheraliyevna, Husenov Muhriddin Bahriddinovich

Актуар молия ва бухгалтерия ҳисоби · 2025-yil

Annotatsiya

The financial sector serves as a critical pillar of both global and national economies, yet it remains highly susceptible to disruptions arising from unforeseen pandemic events. This study emphasizes the necessity of enhancing systemic preparedness for potential future pandemics through a comprehensive analysis of historical cases. Drawing upon the experiences of past pandemics such as COVID-19 and SARS, the paper examines the responses of financial institutions and investor behavior. Furthermore, it explores the applicability of these insights to the context of Uzbekistan, proposing strategic measures to bolster financial resilience and economic stability.

Maqola ma’lumotlari
MualliflarKuvatova Oliya Sheraliyevna, Husenov Muhriddin Bahriddinovich
JurnalАктуар молия ва бухгалтерия ҳисоби
Nashr sanasi2025-06-07
Jild5
Son06
Betlar7-15
TilIngliz
DOI10.55439/afa/vol5_iss06/1010

Kalit so‘zlar

pandemic, COVID-19, Uzbekistan economic institutions, investments, economic stability, Information Technology.

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