DAVLAT QARZ SIYOSATI: RISKLARNI KAMAYTIRISH VA FISKAL BARQARORLIKNI TA’MINLASH
DOI:
https://doi.org/10.60078/2026-vol5-iss2-pp9-12Abstract
Ushbu tezisda O‘zbekistonda davlat qarz siyosatining fiskal barqarorlikka ta’siri va qarz portfelidagi asosiy risklar, ya’ni valyuta, foiz stavkasi, qayta moliyalashtirish hamda kontingent majburiyatlarni tahlil qilindi. Bu borada amaldagi huquqiy-me’yoriy baza va o‘rta muddatli fiskal yondashuvlar doirasida risklarni kamaytirishning amaliy mexanizmlari, xususan strategik limitlar, shaffof monitoring va portfel tarkibini optimallashtirish yo‘nalishlarda ilmiy asoslangan holdagi xulosa va zarur takliflar ishlab chiqildi.
References
1. “Davlat qarzi to‘g‘risida” Qonun (O‘RQ-836, 29.04.2023):
https://lex.uz/uz/docs/-6446817
2. O‘zbekiston Respublikasi Budjet kodeksi (26.12.2013):
3. Fiskal strategiya. https://api.mf.uz/media/filestore/fiskal_strategiya_
2026-2028_4hxRGwi.pdf
4. IMF SRDSF/SRDSA (MAC) sahifasi: https://www.imf.org/en/
publications/dsa/sovereign-risk-and-debt-sustainability-analysis-for-marketaccess-countries
5. World Bank DeMPA Methodology (2021): https://documents1.
worldbank.org/curated/en/526391628746190611/pdf/Debt-ManagementPerformance-Assessment-Methodology-2021-Edition.pdf
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