Abstract
Ushbu maqolada Oʻzbekistonning sanoatlashtirish jarayonlari va ularning ekologik oqibatlari tahlil qilinib, bank sektorida global barqarorlik va ekologik boshqaruv (ESG) tamoyillarini joriy etishning strategik ahamiyati yoritiladi. Sanoat rivoji ortidan yuzaga kelayotgan havo, suv va tuproq ifloslanishi, chiqindilar muammosi hamda iqlim o‘zgarishi kabi ekologik xavflar moliyaviy barqarorlikka bevosita ta’sir ko‘rsatmoqda. Maqolada bank sektorining “yashil moliya”, ekologik risk-menejment, raqamli ekologik monitoring va ekologik mas’uliyatli investitsiyalarni amalga oshirishdagi roli atroflicha o‘rganiladi. Tadqiqot natijalari ESG tamoyillarini integratsiya qilish iqtisodiy o‘sish bilan birga ekologik barqarorlikni ta’minlashda muhim ekanini ko‘rsatadi.
References
1. Central Bank of the Republic of Uzbekistan. (2022). Guidelines on Environmental and Social Risk Management for Banks.
2. Ministry of Ecology, Environmental Protection and Climate Change. (2023). National Environmental Strategy 2030.
3. Khakimov, R. (2021). Green Finance Development in Uzbekistan. International Journal of Environmental Economics, 5(3), 44–52.
4. World Bank. (2022). Sustainability and Climate Risk in Financial Systems.
5. UNEP. (2021). Global Environmental Overview and Sustainable Finance Report.
6. OECD. (2023). ESG Integration in Emerging Markets Financial Institutions.
7. Uzbekistan Green Finance Center. (2022). Green Financial Instruments and ESG Practices in Uzbekistan.
8. Fayzullayev, A. (2020). Environmental Risks in Industrial Regions of Central Asia. Journal of Environmental Studies, 18(2), 71–83.
9. Suyunova D.D. Rakamli korporativ boshkaruvni joriy etishning ilg‘or xorij rivojlangan mamlakatlar tajribasi va ijobiy tomonlarini joriy qilish. European science international conference: analysis of modern science and innovation. https: //esiconf. org/index.php/ AMSI/ article/view /2552/ 2376.2025, fevral.
10. Suyunova D.D. Rakamli iktisodiyot tizimi iktisodiyotni rivojlanishining elektron mexanizmi. European science international conference: analysis of modern science and innovation. https: //esiconf. org/index.php/ AMSI/ article/ view/ 2559/ 2375.2025, fevral.
11. Suyunova D.D. Factors affecting the digitalization of corporate management in joint joint stock companies and scientific approaches to risk assessment. "Ekonomika i sotsium" №11(126). https: //www. iupr.ru/. files/.ugd/ b06fdc_5772198 b03034 ea1 b82d 7241321.acec8.pdf,index.true.2024, noyabr.
12. Suyunova D.D. Korporativ boshqaruvning samaradorligini oshirishda raqamli texnolgiyalardan foydalanish masalasiga ilmiy qarashlar. Iqtisodiy taraqqiyot va tahlil. 7-son, UO‘K: 35.073.6. https: //doi. org/10.60078/ 2992-877X-2024-vol2-iss. 7-pp. 393-402.2024, iyul.
13. Suyunova D.D. Corporate in joint stock companies ways to use digital technologies to improve management. European journal of research development and sustainability (EJRDS). Vol. 4 no 09, issn: 2660-5570. https: //scholarzest. com/ index.php/ ejrds/ article/ view/ 3825/3055.2023, sentyabr.
14. Suyunova D.D. Korporativ boshqaruvning samaradorligini oshirishda raqamli texnolgiyalardan foydalanish masalasiga ilmiy qarashlar. Iqtisodiy tarqqiyot va tahlil ilmiy elektron jurnali. ORCID: 0000-0003-0309-244X.7-son-iyul, 2024.