
Ushbu maqola iqtisodiyotni liberallashtirish sharoitida milliy moliyaviy tizimni rivojlantirish muammolarini tahlil qilishga bag'ishlangan. Tadqiqot liberallashtirishning ikki tomonlama ta'sirini ko'rsatadi: bir tomondan, u global iqtisodiyotga integratsiyani rag'batlantiradi va investitsiyalarni jalb qiladi, boshqa tomondan esa moliyaviy barqarorlik uchun sezilarli xavflarni keltirib chiqaradi, tengsizlikni kuchaytiradi va tartibga soluvchi organlar uchun qiyinchiliklar tug'diradi. Moliyaviy barqarorlikni ta'minlash, institutsional infratuzilmani takomillashtirish va moliyaviy siyosatni ochiq iqtisodiyot sharoitlariga moslashtirish masalalariga alohida e'tibor qaratilgan. Nazariy yondashuvlar va empirik ma'lumotlarni ko'rib chiqish asosida, barqaror rivojlanish uchun liberallashtirish jarayonlarining salbiy oqibatlarini minimallashtirish va afzalliklarini maksimallashtirish yo'nalishlari taklif etilgan.
| selected citations These citations are derived from selected sources. This is an alternative to the "Influence" indicator, which also reflects the overall/total impact of an article in the research community at large, based on the underlying citation network (diachronically). | 0 | |
| popularity This indicator reflects the "current" impact/attention (the "hype") of an article in the research community at large, based on the underlying citation network. | Average | |
| influence This indicator reflects the overall/total impact of an article in the research community at large, based on the underlying citation network (diachronically). | Average | |
| impulse This indicator reflects the initial momentum of an article directly after its publication, based on the underlying citation network. | Average |
