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UTILIZING THE OPTIMAL LEVEL OF PUBLIC DEBT IN COORDINATING FISCAL AND MONETARY POLICIES IN UZBEKISTAN

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ARTICLE ANNOTATION

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The article highlights the issues of establishing the optimal level of public debt in Uzbekistan, exploring the relationship and coordination between fiscal and monetary policies. Various economic models and indicators are considered, including the inflation rate, unemployment rate, GDP per capita and interest rates. The potential consequences of an excessive increase in public debt are identified, including the risk of default and economic instability.

AUTHORS

H.Hakimov

Toshkent davlat iqtisodiyot universitet

Tags

# монетар сиёсат# monetary policy# фискал сиёсат# давлат харажатлари# фискальная политика# fiscal policy# government spending# давлат қарзи# оптимал қарз даражаси# иқтисодий модель# тўламаслик хавфи (default risk)# иқтисодий барқарорлик.# государственный долг# монетарная политика# оптимальный уровень долга# экономическая модель# государственные расходы# риск дефолта# экономическая устойчивость.# public debt# optimal debt level# economic model# default risk# economic sustainability

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References

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