О проблемах развития российской статистики
The article discusses the problems of Russias statistics development arising in connection with the completion of the transition period. It seems problematic to meet new challenges without active participation of the expert community. Therefore, the issues of cooperation with it are considered.
Two problems associated with the adequacy of traditional methods for describing the national economy as an object of study are considered. The first of them is due to the fact that technological progress leads to a decrease in the degree of representativeness of traditional macroeconomic indicators, i.e. to reduce the degree of representativeness of generally accepted methods of describing the economy. The second problem is related to the erosion of the borders of the national economy in connection with the processes of globalization, which leads to the fact that the national economy is gradually losing its representativeness as an object of study.
The research deals with the construction, implementation and analysis of the model of non-equilibrium financial market using econophysical approach and the theory of nonlinear oscillations. We used scaled variation of supply and demand prices and elasticity of these two variables as dynamic variables in the simulation of the nonequilibrium financial market. View of the dynamical variables data was determined on the strength of econophysical prerequisites using the model of hydrodynamic type. As a result, we found that non-equilibrium market can be described with a good degree of accuracy with oscillator models with nonlinear rigidity and self-oscillating system with inertial self-excitation. The most important states of model of oscillation non-equilibrium model of the market were found, including the appearance of chaos and its mechanisms.