Recent trends in the global stock market: a macro-level analysis with emphasis on asia and central asia (2023–2025)

Mamataliev, Bobur

Яшил иқтисодиёт ва тараққиёт · 2025-yil

Annotatsiya

This study explores recent macro-level trends in the global stock market, focusing on the period from 2023to mid - 2025, with a special emphasis on Asia and the Central Asian region. Using a combination of empirical tradingdata, index performance summaries, and official quarterly reports, the analysis investigates shifts in sectoral dynamics,volatility patterns, and regional capital flows. Results indicate that while global volatility - measured through the VIX -remained moderate, there were regional spikes aligned with geopolitical and economic shocks. Central Asia’s stockexchanges, particularly Uzbekistan and Kazakhstan, exhibited accelerated growth in trading volumes and improvedmarket participation, driven by digital access and regulatory reform. This paper concludes with strategic recommendationsfor market stabilization, including financial infrastructure investment and diversification of traded instruments in emergingmarkets.

Maqola ma’lumotlari
MualliflarMamataliev, Bobur
JurnalЯшил иқтисодиёт ва тараққиёт
Nashr sanasi2025-05-01
Jild3
Son5
TilIngliz
DOI10.5281/zenodo.15654835

Kalit so‘zlar

global stock market, Asia, Central Asia, market volatility, sectoral trends, index performance, factor investing, quantitative analysis, VIX, financial markets.

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