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FINANCE AND RISKS IN THE CONTEXT OF GLOBALISATION

Shodiyev Sherzod Dilshod o'g'li,Fayzullayev Shaxzodbek Shukrullobek o'g'li,Rustamova Gavhar Ruziboyevna,Azimjon Meliev Murodullo o'g'liStudent at Samarkand Institute of Economics and Service,Student at Samarkand Institute of Economics and Service,Student at Samarkand Institute of Economics and Service,Assistant of Samarkand institute of economics and service
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Abstract

This article provides an in-depth academic analysis of the impact of globalization on the financial system and the associated financial risks. The research explores key aspects such as global financial integration, international capital movements, currency and credit risks, and financial security in the context of digital transformation. Based on recent scholarly literature, the author analyzes effective risk management strategies, including diversification, hedging, and the use of derivative instruments. The study also highlights the role of international institutions, regulatory policies, and technological innovation in maintaining financial stability. Conclusions and recommendations are presented to ensure sustainable financial development under globalized economic conditions.

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