📄 Abstract
This study examines the theoretical, institutional, and analytical foundations of improving the methodology of public debt management. It reviews economic theories, governance structures, and international practices from both advanced and developing economies. The results show that strengthening analytical tools, integrating risk assessment, and ensuring institutional transparency are essential for achieving fiscal stability and sustainable economic development. The article also provides methodological recommendations relevant to Uzbekistans ongoing fiscal reforms.
🏷️ Keywords
📚 How to Cite:
Sattoriy Fayzullokh Abdijjabor ugli , IMPROVING THE METHODOLOGY OF PUBLIC DEBT MANAGEMENT , Volume 12 , Issue 10, october 2025, EPRA International Journal of Socio-Economic and Environmental Outlook(SEEO) ,