THE TENDENCIES AND OBSTACLES OF THE DEVELOPMENT OF SECURITIES MARKET OF UZBEKISTAN BEYOND INTERNATIONAL EXPERIENCE AND GOVERNMENTAL MACROECONOMIC POLICIES

  • SHOHA’ZAMIY SHOHMANSUR Tashkent Financial Institute
Keywords: Securities market, investment, indicators, Uzbek model of development, macroeconomic policy, integration, hypotheses, contrasting and experimental analysis

Abstract

The article is dedicated to analysis of the condition, trend and problems of the development bond market Uzbekistan in collation with 76 developing countries of the world. On base of the system analysis between countries are given useful for Uzbekistan findings and recommendations on the further development bond market.
Published
2010-12-01
Section
Articles