HOW TO MINIMIZE RISKS OF BONDS IN FINANCIAL MARKET

Authors

  • Jo’rayev Og’abek The Student of TSUE

DOI:

https://doi.org/10.17605/OSF.IO/QYMJU

Keywords:

securities, share, bond, promissory note, stock market, capital, currency, circulation, debt, credit.

Abstract

This article analyzes the activity of the bond market in foreign countries, particularly the USA, Germany, Japan, and China, as well as the types of securities and their purchase and sale processes based on foreign legislation. Also, in the article, the types of bonds used in the stock exchange of Uzbekistan and in the activities of banks and their behavior are compared with the practice of foreign countries.

Downloads

Published

2023-07-24

How to Cite

Jo’rayev Og’abek. (2023). HOW TO MINIMIZE RISKS OF BONDS IN FINANCIAL MARKET. Academicia Globe: Inderscience Research, 4(07), 40–43. https://doi.org/10.17605/OSF.IO/QYMJU

Issue

Section

Articles