MANAGEMENT OF INVESTMENT RISKS AND WAYS TO IMPROVE THEM IN THE CONTEXT OF THE DIGITAL ECONOMY

dc.contributor.authorJurayev Kabiljan Olimjanovich
dc.date.accessioned2025-12-30T08:53:13Z
dc.date.issued2025-06-26
dc.description.abstractThis article provides an in-depth analysis of the types of investment risks, their causes, and their impact on enterprises within the context of the digital economy. Special attention is given to emerging types of investment risks arising from factors such as technological innovations, cybersecurity threats, the increasing flow of data, and the rapid development of financial technologies. The article highlights modern methods for identifying, assessing, and managing digital risks, particularly approaches based on artificial intelligence, blockchain technology, and big data tools.
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dc.identifier.urihttps://ecomindspress.com/index.php/ger/article/view/136
dc.identifier.urihttps://asianeducationindex.com/handle/123456789/27951
dc.language.isoeng
dc.publisherEcominds Press
dc.relationhttps://ecomindspress.com/index.php/ger/article/view/136/160
dc.sourceGlobal Economic Review: Journal of Economics, Policy, and Business Development; Vol. 1 No. 6 (2025): GER; 133-141
dc.source2980-5287
dc.subjectDigital economy, investment risk, risk management, cybersecurity, blockchain, artificial intelligence, financial technologies, big data, investment environment, innovation risk, risk analysis.
dc.titleMANAGEMENT OF INVESTMENT RISKS AND WAYS TO IMPROVE THEM IN THE CONTEXT OF THE DIGITAL ECONOMY
dc.typeinfo:eu-repo/semantics/article
dc.typeinfo:eu-repo/semantics/publishedVersion
dc.typePeer-reviewed Article

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