?
Эконометрический анализ выпуска специалистов ВПО в субъектах РФ
Вестник Московской государственной академии делового администрирования. Серия: Экономика. 2013. № 3(24). С. 168-180.
Ермолин Н. Н., Kotova G. Y., Платонова И. В.
In press
This study provides two models of multiple regressions of graduates of educational institutions of higher education in the Russian Federation. One model is based on the source indicators, and the other - on the principal components. Identified and justified by the benefits of the regression equation, which was built on the components.
Mkhitarian V., Бакуменко Л. П., Вестник КазЭУ 2013 № 3 (93) С. 9-20
The authors analyzed the population life quality of some regions in Russian Federation with using of multivariate statistical analysis. The authors found that increasing population life quality, in particular, increasing life expectancy can be achieved by adjusting the demographic indicators, cash income, development of health, social and environmental security in the Volga Federal District. While ...
Added: March 17, 2014
Shtefan M. A., Офицерова О. Ф., Финансы и кредит 2015 № 3 (627) С. 27-38
Importance As there are no uniform techniques to assess investment appeal of companies, the development of multi-factor criteria enabling potential investors to choose the best investment project assumes great importance. Objectives The objective of the study is to develop multifactor criteria enabling potential investors to choose the best investee among several organizations. Methods In the ...
Added: January 29, 2015
Shtefan M. A., Быкова Д. А., Экономика и управление: проблемы, решения 2013 № 10 С. 46-55
In this paper we analyze the impact of financial and non-financial performance of Russian companies on the likelihood of corporate fraud. By constructing a regression model it was proven that the main factor indicating the presence of fraud in the company is an increase of the relationship between Sales General and Administration costs and amount ...
Added: November 17, 2013
Uvaysov S. U., Журавлева Ю. Н., Палий С. П., Качество. Инновации. Образование 2012 № 11 С. 43-49
The task of improving the quality of forecasting returns of financial instruments using multivariate mathematical models: regression models and neural networks was analyzed. To construct a multifactor model of returns used the assumption on the influence of market factors that have a different nature. A linear multivariable regression model was constructed using stepwise inclusion algorithm. ...
Added: January 25, 2013
Sazhina A., Вахрина Т. А., Маркетинговые коммуникации 2016 № 4 (94) С. 198-209
Вовлечение потребителей в процесс совместного создания ценности продукта (co-creation) становится популярным маркетинговым инструментом. Примером co-creation-деятельности является проект «Вместе» строительной компании «Талан» (г. Пермь). Застройщик предложил объединить усилия компании и будущих жильцов для создания идеального во всех отношениях дома. Авторы оценили данный процесс и построили регрессионную модель, подтверждающую влияние поддержки co-creation на удовлетворенность потребителей. ...
Added: October 7, 2016
Корелина А. С., Микроэкономика 2015 № 6 С. 64-71
The article presents the results of a content analysis of customers’ satisfaction by quality of services of hotels and hostels in Moscow. The clients’ opinions left on the specialized tourist websites, collectors of consumers’ opinions, formed research base for this content analysis. The author has constructed the multiple regression equation, which characterizes the cumulative influence ...
Added: January 25, 2016
Novak A., Krekhovets E., Педагогика 2019 Т. 83 № 5 С. 39-46
Abstract. Th e paper analyzes the most important aspects of the relationship between educational institutions and the labor market, identifi es key problems and makes proposals for improving the convergence of these two markets. Among other problems in the relationship between the higher education and the labor market, there is an imbalance in the demand ...
Added: June 25, 2019
Shtefan M. A., Bykova D., Rivista Italiana di Ragioneria e di Economia Aziendale 2014 Vol. 4-6
In this paper we analyze the impact of financial and non-financial performance of Russian companies on the likelihood of corporate fraud. By constructing a regression model it was proven that the main factor indicating the presence of fraud in the company is an increase of the relationship between Sales General and Administration costs and amount ...
Added: September 26, 2014
Ерёмина А. В., Zoroastrova I. V., Suchkova E. O., Studia Humanitatis 2015 № 4
The article focuses on problems of key competences identification of university graduates in the view of existing approaches to definitions of “competence” and “key competence”. The authors consider the results of self-identification of key competences by university graduates and found out the more important groups of competences. ...
Added: January 26, 2016
Korolev A. V., СПб. : Издательство СПбГЭТУ "ЛЭТИ", 2002
Added: February 8, 2013
Krekhovets E., Leonova L., Женщина в российском обществе 2017 № 3(84) С. 58-69
The article analyzes the problem of Russian graduates employability. Young people make up a large part of the working-age population, are characterized by a high level of labor mobility, and also have a sufficient supply of human and social capital, and opportunities for their further accumulation. Young employees represent a special group at the labor ...
Added: October 9, 2017
Shvedov A. S., / Высшая школа экономики. Серия WP2 "Количественный анализ в экономике". 2010. № 01.
This paper is concerned with matrix variate t-distribution. The degrees of freedom parameter of the t-distribution is a vector. The distribution is applied to multivariate regression models. ...
Added: April 1, 2013
Sivak E., Yudkevich M. M., Вопросы образования 2009 № 1 С. 170-188
В работе обсуждаются положительные и отрицательные стороны практики найма вузами собственных выпускников. Дается обзор эмпирических исследований, анализирующих распространенность и последствия этого явления в различных образовательных системах, а также разницу в поведении и результативности инсайдеров и аутсайдеров. Для иллюстрации феномена выращивания, характерного для российских вузов, используются данные опроса преподавателей и заведующих кафедрами 28 факультетов вузов Санкт-Петербурга, ...
Added: February 10, 2013
Semeko G. V., Актуальные проблемы Европы 2013 № 2 С. 241-270
Problems of the graduates employment in Europe are under consideration ...
Added: January 28, 2017
Khachatryan N., Kravchenko T. K., Akopov A. S. et al., Аудит и финансовый анализ 2016 № 3 С. 128-133
This work is devoted to the analysis and forecasting of the main indicators of the Russian stock market ‒ the indices of the Russian Trading System and the Moscow Interbank Currency Exchange. Autoregressive models with distributed lags describing the behavior of these indices are constructed. On the basis of the proposed models, a retrospective forecasting ...
Added: June 26, 2016
Dudyrev F., Romanova O., Travkin P., Education and Training 2020 Vol. 62 No. 4 P. 441-457
Purpose
The paradigm of school-to-work transition is changing, with an increasing number of students combining work and study. Furthermore, there exists some mixed evidence for the impact of student employment on future earnings and employment likelihood. The purpose of the present paper is to examine additional evidence that would shed light on the pros and ...
Added: June 10, 2020
Krekhovets E., Народонаселение 2018 Т. 21 № 4 С. 122-134
The article considers results of the investigation of the role of friendly social ties of students and graduates from higher educational establishments in their job placement and adaptation on the labor market on the basis of data from the Russian Longitudinal Monitoring Survey (RLMS-HSE N = 988, 2012-2016). Employment based on social ties seems to ...
Added: February 12, 2019
Safonov G., Галенович А., Федоров Ю. Н., Энергия: экономика, техника, экология 2012 № 5 С. 37-39
The article discusses the potential role of Russia in global carbon markets, prospects and opportunities for national businesses in greenhouse gas emission reduction ...
Added: July 20, 2016
Ивлиев С. В., Penikas H. I., Экономика и управление: проблемы, решения 2016 Т. 2 № 8 С. 247-252
Под эгидой Гильдии финансовых аналитиков и риск-менеджеров и Русского общества управления рисками разработан новый профессиональный стандарт «Специалист по управлению финансовыми рисками», который предназначен для оценки квалификации риск-менеджеров. В статье описываются предпосылки создания и краткое содержание стандарта с целью его популяризации. ...
Added: September 5, 2016
Pilnik N., Pospelov I. G., Radionov S., Вестник АКСОР 2017 Т. 43 № 3-4 С. 71-78
In this article we consider the issues of preparing statistical data for using in applied macroeconomic models, based on balance equalities. We propose a description of every macroeconomic agent, which consists of four balances of different kind. The described construction is filled with statistical data, which describes the condition of main sectors of Russian economy, ...
Added: November 26, 2017
Smirnov S. V., Balashova E., Posvianskaia L., Problems of Economic Transition 2010 Vol. 53 No. 3 P. 69-95
The article considers different approaches, all based on detailed statistical data, to determine which industries and commodities have high, medium, or low sensitivity to exchange rate fluctuations. The authors conclude that any exchange rate policy is an inappropriate tool to influence the structure of Russian economy. ...
Added: April 12, 2013
Chulok A., Slobodianik S., Moiseichev E. Y., Foresight 2017 Vol. 19 No. 5 P. 511-527
Purpose
This study aims to assess future prospects for Russian energy exports until 2040, as global energy markets are undergoing major changes, with possible impacts on Russia.
Design/methodology/approach
Qualitative and quantitative approaches are integrated under a proposed foresight framework. The qualitative method involves an expert survey aimed at identifying major energy trends and their influence on ...
Added: October 3, 2017
Neretina Ekaterina, Neretina E., Journal of Accounting, Finance and Economics 2013 Vol. 3 No. 1 P. 65-76
The last market crash of 2008-2009 showed that the construction sphere is one of the most fragile subject to the crisis effect. The destructive effect of this crash resulted in substantial decrease in mortgage lending, price index, capital investment, and in growth of the cost level. As the construction industry remains strategically important, the eruption ...
Added: September 5, 2013
Polishchuk L., Natkhov T., Журнал Новой экономической ассоциации 2017 № № 3(35) С. 12-32
We discuss the evolving views on institutions and development in modern political economy, and in particular the contribution to the field by D. Acemoglu and J. Robinson, explaining root causes of successes and failures in economic development. The focus of discussion is on inclusive and extractive institutional regimes — the former sustain economic growth, whereas ...
Added: October 23, 2017