RISK MANAGEMENT STRATEGIES IN UNCERTAIN ECONOMIC ENVIRONMENTS: A GLOBAL COMPARATIVE STUDY

RISK MANAGEMENT STRATEGIES IN UNCERTAIN ECONOMIC ENVIRONMENTS: A GLOBAL COMPARATIVE STUDY

Authors

  • Nigmatova Malika

DOI:

https://doi.org/10.5281/zenodo.18631429

Keywords:

risk management, economic uncertainty, risk appetite, institutional quality, financial market depth, corporate governance, diversification, hedging, operational resilience, stress testing, comparative analysis.

Abstract

This article examines risk management strategies in uncertain economic environments through a global
comparative lens. The study combines literature synthesis, institutional analysis, the risk appetite concept, and crosscountry
comparison of practices. Findings indicate that strategy effectiveness depends on institutional quality, financial
depth, and corporate governance maturity. The paper contributes an integrated conceptual framework for adaptive risk
management across heterogeneous economic settings.

Author Biography

Nigmatova Malika


Graduated of masters of Logistics in Silk Road University of Tourism and Cultural Heritage
Manager of marketing in Samarkand technique No. 1

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Published

2026-02-01
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