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Эволюция стандартов оценки достаточности капитала как адаптационный механизм банковской системы в условиях финансового кризиса
Общественные науки. 2011. № 6. С. 460-470.
Markovskaya E., Гукъямухова Л. П.
Markovskaya E., Известия Санкт-Петербургского университета экономики и финансов 2013 № 2 С. 37-42
The article deals with the problem of adaptation of the Russian banking system in the period f macroeconomic instability. The author studies the problem of international capital standards adoption in Russian banking system ...
Added: March 15, 2013
Gelman S. V., / Max-Planck-Institute. Series. "Research on Collective Goods Preprint Series". 2010. No. 20.
We estimate effective spreads and round-trip transaction costs at the Berlin Stock Exchange for the period 1892 - 1913 using daily stock market returns for a sample of 27 stocks . Our results show that transaction costs at the main stock exchange in a bank-based financial system at the turn of the 20th century were quite low and ...
Added: July 29, 2013
Rusanov S., Лента.ру, Россия 2020
Развитие информационных технологий в сфере финансов – залог успешной конкуренции и динамичного развития любого банка. О современных тенденциях в этой области, новой стратегии развития и серьезных переменах в IT-направлении банка «Открытие» — в интервью члена правления, руководителя IT-блока банка «Открытие» Сергея Русанова на «Ленте.ру». ...
Added: June 2, 2021
Doroshenko M. E., Стародубцева Е. Б., Финансовая аналитика: проблемы и решения 2015 Т. 277 № 43 С. 2-12
Importance The global financial crisis disturbed the former trends of the global financial system, without leaving any opportunity for their recovery. The new system configuration is not evident yet, however some components of its post-crisis order are already identifiable. The article identifies and analyzes such components that allow outlining the financial system of the future.
Objectives ...
Added: November 25, 2015
Иванов В., Банковское дело 2020 № 12 С. 19-32
The article, which is part of a comprehensive study, presents the author's detailed analytical classifier of unreliability of Bank statements and operations; systematizes the main directions of hiding banking problems with customer payments, outflow of funds, and liquidity; overstating the liquidity and repayment of the loan portfolio; demonstrating fictitious activity; the impact of the growth ...
Added: September 13, 2021
Добрынин Л. А., Markovskaya E., Medved A. A. et al., СПб. : Издательство Санкт-Петербургского государственного университета экономики и финансов, 2014
Textbook is dedicated to the theoretical and practical aspects of the relations the government and business. It describes the theoretical base of these relations. The textbook specifies its peculiarities in such fields as investment, system of government purchases, analyses the aspect of the social responsibilities. It is stated the theoretical fundamentals of the adaptation of ...
Added: June 15, 2014
Предпосылки мирового экономического кризиса и его начало весной 2020 г. в связи с пандемией COVID-19
Portanskiy A., Sudakova Y., Larionov A., Вестник международных организаций: образование, наука, новая экономика 2020 Т. 15 № 2 С. 191-212
Analytical agencies, as well as international organizations, indicate significant risks in the development of the world economy, increasing the likelihood of a new global financial crisis in late 2020-early 2021. The main sources of risks are trade wars that lead to a crisis in the international system of trade regulation, a decrease in the effectiveness ...
Added: August 18, 2020
Emerald Group Publishing Limited, 2011
The Global Financial Crisis of 2007-2009 has highlighted the resilience of the financial markets and broader economies from the developing world. This outcome owes much to the bitter experience and economic strategies developed and implemented at both a national and international level following the Asian Financial Crisis of 1997-1998. The objective of this volume is ...
Added: July 29, 2013
Markovskaya E., Аудит и финансовый анализ 2013 № 2 С. 126-129
The article deals with the problem of adaptation of the Russian banking system in the period of macroeconomic instability. The authors study the problem of international capital standards adoption in Russian banking system ...
Added: March 15, 2013
Uvarova L. F., Журнал правовых и экономических исследований 2013 № 3 С. 147-151
Выявлены проблемы обеспечения финансовой устойчивости и надежности коммерческих банков. Раскрыты факторы системного экономического кризиса 2007-2009г.г. и их влияние на развитие региональных банков. Предложены мероприятия для создания благоприятных условий для развития и повышения устойчивости региональных коммерческих банков. ...
Added: October 2, 2013
Lipsits I. V., Вопросы экономики 2012 № 8 С. 64-79
The paper analyzes the main trends of consumer markets in the post-crisis period. Particular attention is paid to the manifestation of global trends in Russia. The increasing value systems and lifestyle fragmentation leads to changes in even such fundamental elements of the human society as gender differentiation and models of family life. The growth of ...
Added: August 21, 2012
Kozlovskaya V. G., Охотницкая В. В., Мир современной науки 2012 No. 1 P. 8-9
The article is about the reasons of the global financial crisis and its consequences. The forecasts of the economists and politicians about the fierce competition between economic «tigers» in the nearest future. ...
Added: November 6, 2012
Marelli E., Vakulenko E., Economic and Labour Relations Review 2016 Vol. 27 No. 3 P. 387-405
Youth unemployment rates in most countries are considerably higher than total unemployment rates and increased significantly in many countries following the global financial crisis. Young people in long-term unemployment risk becoming a ‘lost generation’. We investigate individual and family characteristics predicting young people’s vulnerability to the scarring effects of long-term unemployment. After overviewing aggregate youth ...
Added: July 12, 2016
Кондратюк А. А., Транспортное дело России 2011 № 3 октябрь
Рынок кредитных дефолтных свопов (CDS) привлёк внимание финансовой общественности во время кризиса, когда стали очевидными риски, которые он в себе таит. В статье рассмотрены основные причины возникновения этих рисков в разрезе докризисного и послекризисного развития рынка, а также предложены основные выходы по их нивелированию в будущем. При этом особое внимание уделено возможностям по хеджированию рисков ...
Added: December 29, 2012
Иванов В., Банковское дело 2020 № 10 С. 24-34
For the first time, the article systematizes different approaches to the classification of the fictitious transactions and reporting by the main participants in the banking process within the framework of a single study. Based on many years of experience and analysis, a universal comprehensive analytical classification of fictitious transactions and Bank statements is proposed, which ...
Added: June 18, 2020
Mozias P., Азия и Африка сегодня 2013 № 10 С. 44-48
This article deals with the issues of economic growth in South Africa during the post-apartheid period. Drivers of economic dynamics are analysed, including institutional and financial reforms which have been carried out by the ANC’s government. Domestic and external reasons for the slowdown of economic development at the turn of decades are also discussed in ...
Added: January 24, 2014
Markovskaya E., Общество и экономика 2016 № 11 С. 23-31
The author analyzes the phenomenon of the adaptation of the economic agents from the point of view of the different scientific approach, including the theory of the institutional matrix. ...
Added: November 28, 2016
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