Аннотация
Финансовый сектор играет важнейшую роль в мировой и национальной экономике, но он уязвим к сбоям, вызванным неожиданными пандемическими ситуациями. В данной статье описывается необходимость повышения готовности к возможным будущим пандемиям на основе сводного анализа прошлых событий. Анализируя прошлые пандемии (COVID-19, SARS) в мире, изучается анализ опыта финансовых институтов и инвесторов, а также рассматриваются меры по применению этих стратегий в Узбекистане.
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