BANK-MOLIYA TIZIMIDA QIMMATLI QOG‘OZLAR VA MOLIYAVIY INSTRUMENTLARDAN FOYDALANISH ORQALI GAROV DIVERSIFIKATSIYASINI TAKOMILLASHTIRISH YO‘LLARI
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https://doi.org/10.5281/zenodo.17543893##semicolon##
Garov diversifikatsiyasi, qimmatli qog‘ozlar, moliyaviy instrumentlar, riskni kamaytirish, likvidlik, kredit tashkilotlari, kapital oqimi, moliyaviy nazorat, iqtisodiy o‘sish, barqaror moliya bozori##article.abstract##
Garov diversifikatsiyasida qimmatli qog‘ozlar va moliyaviy instrumentlardan samarali foydalanish moliya
bozorlari barqarorligini ta’minlaydi. Bu jarayonda turli aktivlardan aksiya, obligatsiya, derivativlar va boshqa likvid
vositalardan keng qamrovli portfel tuzish orqali risklar kamayadi va kredit tashkilotlarining ishonch darajasi oshadi.
Xalqaro tajriba ko‘rsatishicha, diversifikatsiya qilingan garov portfeli kapital oqimini kengaytiradi, likvidlikni ta’minlaydi va
investorlar uchun qo‘shimcha imkoniyat yaratadi. Shuningdek, qonunchilikni takomillashtirish hamda moliyaviy nazoratni
kuchaytirish orqali barqaror moliya muhitini rivojlantirish iqtisodiy o‘sishni rag‘batlantiradi
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