AKSIYADORLIK JAMIYATLARINING ODDIY AKSIYALARI QIYMATI BAHOLASH USULI
DOI:
https://doi.org/10.55439/INS/vol1_iss12/235##article.subject##:
Moliyaviy aktivlar, tizimli risk, tizimsiz risk, aksiyaning qiymati, bozor qiymati, kutilayotgan daromad, bozor riski.##article.abstract##
Mazkur maqola aksiyadorlik jamiyatlarini oddiy aksiyalarini qiymatini baholashda moliyaviy aktivlarni baholash usulidan foydalanish avzalliklari va imkoniyalarini haqida bayon qilingan. Shuningdek, oddiy aksiyalarni qiymatini baholashda moliyaviy aktivlarni baholash modellaridan foydalanishning nazariy va amaliy jihatlari yoritilib berilagan. Shu bilan birga, aksiyani qiymatini baholashda tizimli va tizimsiz risklarni inobatga olgan holda bohalashga alohida tuxtalib o’tilgan.
References
Harry Markowitz (1952). “Portfolio Selection” The Journal of Finance, Vol. 7, No. 1. pp. 77-91.
Mossin.J (1966). Equilibrium in a Capital Asset Market, 34(4), 768-783
Douglas, G.W. (1969), “Risk in the Equity Markets: An Empirical Appraisal of Market Efficiency”, Yale EconomicEssays, 9, pp 3-45
Blume, M.E., (1970). Portfolio theory: A step toward its practical application. Journal of Business, 43, 152 173
Miller, M.H., and Scholes, M., (1972). Rates of return in relation to risk: A re-examination of some recent findings. In Michael C. Jensen (Ed.), Studies in the theory of capital market (pp. 47-78). New York: Praeger
Graham, J.R. and Harvey, C.R (2001) “The theory and practice of corporate finance: evidence from the field”, Journal of Financial Economics 60, 187-243
Kungratov Ilmurod Kuzibay ugli, & Abdumitalibova Rayhona. (2024). SECURING TRAVEL EXPERIENCES: THE IMPACT OF TRANSLATION ON TOURISM INSURANCE ACCESSIBILITY. Insurance Market of Uzbekistan, 1(11), 36–38.
Dirk Brounen, Abe de Jong and Kees Koedijk (2004) “Corporate Finance In Europe Confronting Theory With Practice”, ERIM REPORT SERIES RESEARCH IN MANAGEMENT, 1-44
Ш.Ш. Шохазамий “Молия бозори ва қимматли қоғозлар” дарслик Тошкент-2012
Н.Ғ. Каримов ва Р.Х. Хожиматов “Инвестицияни ташкил этиш ва молиялаштириш” 771-787 бет
Х.Қурбонов “Корпоративные финансы” Тошкент “Иқтисод-Молия” 2007, c-40
U.Burkhanov & Kh.Khudaykulov (2013) “INVESTMENT VALUATION IN EMERGING MARKETS: OPPORTUNTIES & SPECIFIC FACTORS” “Иқтисодиѐт ва инновацион технологиялар” илмий электрон журнали. № 7, pp 1-9
Қўлдошев, Қ. (2023). Sugʻurta faoliyatini davlat tomonidan nazorat qilish bilan bogʻliq muammolar va bu boradagi chet el tajribalarini qoʻllash masalalari . Страховой рынок Узбекистана, 1(2), 12–15. https://doi.org/10.55439/INS/vol1_iss2/26
Восиқов Абдуваҳоб Равшан ўғли. (2024). Портфел инвестицияларни жалб этишни рағбатлантириш механизмини такомиллаштириш. Страховой рынок Узбекистана, 1(10), 26–28. извлечено от https://insurance.tsue.uz/index.php/journal/article/view/190
Downloads
##submissions.published##
How to Cite
##issue.issue##
##section.section##
License
Copyright (c) 2024 Xurramov Eshmamat Xudoyberdivich

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