Published January 28, 2026 | Version v1

METHODS OF MANAGING CURRENCY RISKS IN FOREIGN ECONOMIC ACTIVITY

  • 1. Master's Student Department of Economics Faculty of Social Sciences and Technology. Asia International University

Description

This article analyzes methods of managing currency risks in foreign economic activity based on empirical evidence from Uzbekistan and international experience covering 2020-2024.

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References

  • 1. Allayannis G., Ofek E. Exchange Rate Exposure, Hedging, and the Use of Foreign Currency Derivatives // Journal of International Money and Finance. – 2001. – Vol. 20(2). – P. 273-296.