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DYNAMICS OF FINANCIAL MARKETS AND RISK MANAGEMENT MODELS

Egamberdiyev OzodbekStudent of Samarkand institute of economics and service,Saydullayev YusufjonStudent of Samarkand institute of economics and serviceIskandarov Bekzod AbdijalilovichSenior lecturer of the department of "Economic Theory" Samarkand institute of economics and service
ABI

Abstract

This article provides a comprehensive analysis of the dynamic nature of financial markets and the application of modern risk management models. It explores the fundamental drivers of market fluctuations, sources of uncertainty, and advanced quantitative approaches used to measure and mitigate financial risks. The study highlights the importance of integrating statistical, mathematical, and economic frameworks to enhance financial stability and decision-making under uncertainty.

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