GLOBAL MOLIYAVIY BARQARORLIK ERISHISH YO’LIDAGI MUAMMOLAR, STRATEGIYALAR VA NATIJALAR

Authors

  • M.Ikramov Toshkent davlat iqtisodiyot universiteti magistranti Author

Keywords:

global financial stability, systemic risks, 2008 financial crisis, financial innovations, digital currency, international finance, geopolitical risks, risk management, cross-border cooperation, financial regulation, economic security

Abstract

This thesis examines the key challenges to achieving global financial stability and evaluates strategic approaches aimed at strengthening the international financial system. The study highlights how post-2008 financial crisis conditions — including rising debt levels, macroeconomic imbalances, geopolitical tensions, inflationary pressures, and the rapid expansion of digital finance — continue to expose systemic vulnerabilities. The research argues for enhanced regulatory frameworks, improved risk management, international cooperation, and the adoption of financial technologies to ensure long-term financial resilience. The conclusion provides policy recommendations to mitigate systemic risks and promote global economic security.

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Published

2025-11-04