Today, in order to achieve a common ground, an understanding of specific issues such as risk and risk acceptance must have a common understanding of these concepts in different sciences. Having a common experience and adopting scientific methods to reduce risks and risks in different financial and economic systems in this regard requires an intersubjective structure and data correlation in the formulation of specific and macro strategies. According to the subject and purpose of the study, in this study, the legal nature of the strategy to reduce financial-economic risks in the post-corona period was examined. The identified financial and economic risks and risks, the concerns of the financial economy system in the post-Corona era were explained. Then, according to the characteristics of the research, the description and interpretation of the risks of the legal system and the financial-economic system during the economic crisis were discussed. Also, according to the types of risks and hazards in this area and important factors in the acceptance of risks and hazards in the legal system and financial-economic system, methods of risk management and risk reduction in the legal system and financial-economic system were stated.
GHaffari G. Investigate the legal nature of the financial risk reduction strategy- Economic in times of economic crisis. Journal title 2024; 8 (27) :72-94 URL: http://malieh.dmk.ir/article-1-259-en.html