BASICS OF USING THE CONCEPT OF FINANCIAL RISK
Ruzibayeva Nargiza KhakimovnaAssociate Professor of the Department of "Investment and Innovations", PhD Samarkand Institute of Economics and Service
Zenodo (CERN European Organization for Nuclear Research)repository2026
ABI
Abstract
In this article, the conceptual framework from the point of view of the concept of "financial risk" is improved, which allows taking into account the specific features of the environment in which financial risks arise and using the most appropriate tools for crisis regulation of financial flows. This article presents the main features of risk theory. The concept of "financial risk" is improved based on the analysis of existing definitions of the category by studying the concepts of risk aimed at determining its scope and consequences.
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