FINANCIAL RISKS IN THE CAPITAL MARKET OPTIMAL MANAGEMENT DIRECTIONS

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Аннотация:

This thesis explores the financial risks associated with the optimal management of capital markets. The findings emphasize the importance of effective risk management for ensuring the efficiency and resilience of capital markets.

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Как цитировать:

Nurmatova , S. . (2025). FINANCIAL RISKS IN THE CAPITAL MARKET OPTIMAL MANAGEMENT DIRECTIONS. Общественные науки в современном мире: теоретические и практические исследования, 4(1), 9–11. извлечено от https://in-academy.uz/index.php/zdif/article/view/42815

Библиографические ссылки:

“Principles of Corporate Finance” by Richard Brealey, Stewart Myers, and Franklin Allen

“Risk Management and Financial Institutions” by John Hull

https://www.bis.org/ - Bank for International Settlements (BIS)

https://www.rmahq.org/?gmssopc=1 - The Risk Management Association (RMA)

“Financial Markets and Institutions” by Frederic S. Mishkin and Stanley G. Eakins

https://www.worldbank.org/en/topic/financialsector - World Bank: Financial Risk Management

https://www.theirm.org/ - The Institute for Risk Management (IRM)