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Стратегия развития финансовых рынков до 2030 года
The article is devoted to the study of the possibilities of forming a sustainable strategy for the development of financial markets, which will allow developing a ready-made methodology for decision-making in financial market management and increasing the volume of the real sector and improving macroeconomic indicators. The problem of maintaining a positive growth trend is particularly acute in the current political and macroeconomic conditions, which determines the relevance of the study. The purpose of the study is to propose our own forecast of the development of financial markets for the next decade. The article examines various models of financial markets, the dynamics of the development of the financial market of the Russian Federation, the current stage of development of the financial market of the Russian Federation, suggests the main factors of market development, discusses various forecasts of the development of the Russian Federation, and also offers its own development forecast. As a result of the conducted research, it was possible to establish the need to maintain an increase in the volume of application of the three above-mentioned trends, to preserve the trends of economic growth and development in the conditions of the current crisis.