Improvement of Investment Strategies of Institutional Investors in The National Capital Market

Authors

  • Kamilova Sevara Anvarovna PhD, Tashkent State University of Economics, Uzbekistan

DOI:

https://doi.org/10.55640/jme-06-03-03

Keywords:

Institutional investors, capital market, investment strategy

Abstract

This article examines modern approaches to improving the investment strategies of institutional investors in the context of the transformation of the national capital market. It analyzes the key factors influencing the effectiveness of investment activities, including macroeconomic instability, the development of financial instruments, and the digitalization of the economy. The study proposes directions for optimizing investment strategies, taking into account portfolio diversification, risk management, and the implementation of innovative technologies.

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References

Markowitz, G., The Theory of Portfolio Choice.

Sharpe, W., Investments.

Bodie, Z., Kane, A., Marcus, A., Principles of Investment.

Official reports of national financial regulators.

Research articles on capital market development and institutional investors.

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Published

2026-03-19

How to Cite

Kamilova Sevara Anvarovna. (2026). Improvement of Investment Strategies of Institutional Investors in The National Capital Market. Journal of Management and Economics, 6(03), 24–26. https://doi.org/10.55640/jme-06-03-03