
WAYS TO IMPROVE INVESTOR RISK REDUCTION IN THE STOCK MARKET
Absamatov Anvar Ergashevich,Xalilov Umid Eshtemirovich , Termiz University of Economics and ServiceAbstract
Currently, one of the wallets of markets in all countries is the stock market, which is equally understandable to everyone. This article examines the most effective methods used to reduce the risks of investors in the stock market. Existing financial risk management strategies are analyzed and new innovative approaches are proposed.
Keywords
Stock market, investor risks, diversification, hedging, fundamental analysis, technical analysis, portfolio management, algorithmic trading, risk management
References
Bodie, Z., Kane, A., & Marcus, A. J. (2014). “Investments” (10th Ed.). Mcgraw-Hill Education.
Absamatov, A. E. (2021). Islamic Economic Model: Features, Current State And Prospects For Further Development. Thematics Journal Of Social Sciences, 10(7).
Absamatov, A. E. (2021). Features Of The Conceptual Framework Of Financial Reporting For Islamic Financial Institutions. Thematics Journal Of Business Management , 10 (7).
Ergashevich, A. A. (2023). The Role Of Small Business And Private Entrepreneurship In Increasing The Population'S Income And Ensuring Employment. Imras, 6(6), 404-409.
Khurramov, E. X. (2019). Role Of Innovation In Increasing Efficiency Of Production Of Agricultural Products In Forestry. Theoretical & Applied Science, (10), 518-521.
Khurrama, E. X. (2020). Эффективное Увеличение Сельскохозяйственного Производства На Землях Лесного Фонда. Theoretical & Applied Science, (7), 5-9.
Xudoyberdievich, X. E. (2023). Qishloq Xo’Jaligidagi Asosiy Vositalarni Takomillashtirish Va Ularning Iqtisodiy Jarayonlari. Journal Of Innovations In Scientific And Educational Research, 6(4), 1093-1096.
Article Statistics
Downloads
Copyright License

This work is licensed under a Creative Commons Attribution 4.0 International License.