Abstract
Mazkur maqolada global moliyaviy inqirozlarning kelib chiqish omillari, ularning xalqaro moliya tizimi orqali rivojlanayotgan davlatlar iqtisodiyotiga uzatilish mexanizmlari hamda makroiqtisodiy barqarorlikka ko‘rsatadigan ta’siri kompleks tarzda tahlil qilingan. Tadqiqotda 2008–2009 yillardagi jahon moliyaviy inqirozi, pandemiya davridagi iqtisodiy silkinishlar va keyingi davrda kuchaygan qarzdorlik muammolari rivojlanayotgan iqtisodiyotlar kesimida baholangan. Xalqaro ilmiy adabiyotlar, IMF, UNCTAD va boshqa institutsional manbalarning nazariy hamda statistik ma’lumotlari asosida kapital oqimlari, tashqi qarz, valyuta beqarorligi, investitsion faollik va bandlik ko‘rsatkichlari o‘rtasidagi bog‘liqlik ochib berilgan.
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