DIVERSIFIKATSIYANING INVESTITSIYA PORTFELI SAMARADORLIGIGA TA’SIRI
Ключевые слова:
investitsiya portfeli, diversifikatsiya, investitsion risk, rentabellik, moliyaviy bozor, aktivlar taqsimoti, Sharpe koeffitsiyenti, portfel samaradorligi, investitsiya strategiyasi, moliyaviy barqarorlik.Аннотация
Mazkur maqolada diversifikatsiyaning investitsiya portfeli samaradorligiga ta’siri ilmiy jihatdan tahlil
qilingan. Tadqiqot davomida investitsion risklarning iqtisodiy mohiyati, ularning sistematik va nosistematik turlari hamda
diversifikatsiyaning risklarni kamaytirishdagi roli o‘rganilgan. Shuningdek, investitsiya portfelining rentabelligini oshirishda
aktivlarni samarali taqsimlash mexanizmlari yoritilgan. Tadqiqotda zamonaviy portfel nazariyasi, Sharpe koeffitsiyenti
hamda xalqaro moliyaviy bozorlar ma’lumotlari asosida amaliy tahlillar amalga oshirilgan. Natijalar diversifikatsiyalangan
investitsiya portfellari iqtisodiy noaniqlik va moliyaviy inqirozlar sharoitida yuqori moliyaviy barqarorlikni ta’minlashini
ko‘rsatdi.
Библиографические ссылки
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Qozoqboy Yo‘ldoshev. Investitsiyalarni boshqarish. — Toshkent: Iqtisodiyot, 2020. — 312 b.
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12. World Bank, International Monetary Fund hamda A Random Walk Down Wall Street ma’lumotlari asosida muallif
tomonidan tayyorlandi.
13. Burton Malkiel. A Random Walk Down Wall Street. — New York: W.W. Norton & Company, 2019.
14. Zvi Bodie, Alex Kane, Alan Marcus. Investments. — New York: McGraw-Hill Education, 2021. — 11-edition.
15. Zvi Bodie, Alex Kane, Alan Marcus. Investments. — New York: McGraw-Hill Education, 2021. — 11-edition. — P.
245–267.
16. William Sharpe. Portfolio Theory and Capital Markets. — New York: McGraw-Hill, 1970. — P. 112–145.
17. Zvi Bodie, Alex Kane va Alan Marcus ma’lumotlari asosida muallif tomonidan tayyorlandi.
18. World Bank, IMF va Bloomberg ma’lumotlari asosida muallif tomonidan tayyorlandi.
19. OECD va World Bank ma’lumotlari asosida muallif tomonidan tayyorlandi.
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