Abstract
Mazkur tezisda aksiyadorlik jamiyatlarida yashil qimmatli qog‘ozlar, xususan, yashil obligatsiyalar bozorining rivojlanish tendensiyalari hamda xalqaro tajriba o‘rganilgan. Ishda barqaror rivojlanish strategiyalarida yashil moliyaviy vositalarning ahamiyati, ularning fond bozoriga ta’siri va investitsiya xavfini kamaytirishdagi roli tahlil qilinadi. Tadqiqot Yevropa fond birjalari misolida yashil o‘sish siyosati va faoliyatining bozor daromadlariga ta’sirini empirik baholaydi. Yashil obligatsiyalar bozorining hajmi, tuzilishi va o‘sish omillari tizimlashtirilib, qat’iy ekologik me’yorlar, ESG mezonlarining korporativ strategiyalarga integratsiyasi hamda suveren emitentlar faoliyati kabi asosiy ta’minot omillari aniqlangan. Olingan natijalar yashil obligatsiyalar korxonalarning atrof-muhit ko‘rsatkichlarini yaxshilashga qaratilgan ishonchli signal vazifasini bajarishini tasdiqlaydi.
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