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Бегство к качеству: на примере китайского рынка облигаций в 2020 году
Экономический вектор. 2023. № 2(33). С. 139–150.
Утевская М. В., Makarova V. A., Бударин А. Н.
The article examines the relationship between the COVID-19 crisis and the change in the structure of the PRC market using the example of bonds with a high degree of safety based on data from 2020. The authors discover the existence of a relationship between structural changes in the market and the time of the pandemic, while showing the stability of the model. Using the example of the Chinese bond market, the authors show the phenomenon of flight to quality, and assess the consistency of the results of the study with other studies on similar topics.
М.: Московский Политех, 2026.
Основной целью конференции является освещение проблем, связанных с внедрением технологий искусственного интеллекта в управление городским хозяйством города Москвы. Участниками были представлены инновационные решения для оптимизации использования ресурсов и городской инфраструктуры. Особое внимание было уделено решению задач прогнозирования и аналитического моделирования для повышения эффективности работы городских систем.
Тезисы докладов содержат разностороннее исследование теоретических и практических вопросов развития ...
Added: September 16, 2026
Abdullaev A., Sivaev S., Regional Research of Russia 2026 Vol. 16 No. 3 P. 518–530
The article examines the specific features of implementing regional programs of targeted social support for housing and communal services payments in Russia. The aim of the study is to identify differences between the federal subjects in key parameters of the program, targeting and coverage of households with housing subsidies, as well as in the results of ...
Added: September 16, 2026
Gokhberg L., Abdrakhmanova G., Kutsenko E. et al., Вопросы статистики 2026 Т. 33 № 4 С. 5–20
This article examines the methodological and practical issues associated with the transition to the new edition of the All-Russian Classifier of Economic Activities (OKVED) – OKVED3. The relevance of the study stems from the need to reflect contemporary structural changes in the economy, related to the transformation of the existing economic activities and emergence of ...
Added: September 15, 2026
Makarov I. A., Россия в глобальной политике 2026 Т. 24 № 4 (140) С. 164–182
Три с половиной года остаётся до 2030-го – окончания срока реализации Целей устойчивого развития (ЦУР) – главной международной инициативы, устанавливающей долгосрочные ориентиры для будущего человечества. Уже очевидно, что она провалилась: преодоление бедности, решение экологических проблем и построение инклюзивного и справедливого общества остались красивой мечтой. Кто-то может воспринимать ЦУР как памятник человеческой наивности. Но надо понимать, что эта ...
Added: September 14, 2026
Fedorova E., Ledyaeva S., Stepanov V., International Review of Economics and Finance 2026
This study investigates the influence of low-quality information, specifically fake news, on short
term stock returns, contributing to the discourse on signal theory and behavioral economics.
Employing a machine learning approach, the authors developed a robust fake news dataset from
publicly available sources. Sentiment analysis was conducted using a FinBERT model fine-tuned
for stock market contexts, alongside extensive dataset ...
Added: September 12, 2026
Карпова Д. А., Sizova I., Gordin V. E., Креативные индустрии 2026 Т. 2 № 2 С. 10–31
This article examines the musealisation of industrial heritage and its role in regional and corporate branding. The relevance of this study stems from deindustrialisation processes, the growth of industrial tourism, and the need to preserve historical memory, which is particularly important in the context of Russian realities—the lack of a legal definition of the concept ...
Added: September 9, 2026
Veselova L. S., Морозова В. С., Дарчиева А. А., Управленец 2026 Vol. 17 No. 4 P. 66–78
На фоне развивающихся торгово-экономических отношений между Россией и Китаем российские десерт- ные бренды получают новые возможности для выхода на китайский рынок. Однако их присутствие ограничено преи- мущественно приграничными регионами, а продвижение сдерживается недостаточной адаптацией к социокультурным особенностям китайских потребителей. Статья посвящена разработке практических рекомендаций по формированию стратегии адаптации российских десертных брендов к специфике китайского рынка. ...
Added: September 9, 2026
Kilinc-Ata N., Warong M. M., SN Business & Economics 2026 Vol. 6 Article 326(2026)
Green transitions are widely expected to attract cleaner capital and accelerate decarbonization; however, emerging-economy evidence increasingly challenges this assumption. This study examines the dynamic relationship between energy transition indicators and capital inflows in BRICS+ economies over the period 1996–2022, explicitly testing the “Green Haven” hypothesis under conditions of global uncertainty. Unlike much of the existing ...
Added: September 9, 2026
Warong M. M., International Journal of Diplomacy and Economy 2026
This study conducted in Indonesia between 2000 and 2023, demonstrates a complex, non-linear interplay between the economic environment and the emergence of clean energy start-ups. Using Autoregressive Distributed Lag and Markov Switching models, the research shows that start-up formation coincides with periods of lower GDP growth, suggesting that innovation is often spurred by necessity. Two ...
Added: September 9, 2026
Soldatova A., Банковские услуги 2025 № 5 С. 41–44
This article covers the results of a roundtable discussion at the Higher School of Economics (HSE) on the Russian bond market. Key issues and trends in the bond market over the past year were discussed, including macroeconomic risks and new threats to private investors related to the increasing frequency of coupon defaults by issuers. The ...
Added: September 3, 2026
Selivanovskiy A., Закон 2025 № 7 С. 166–176
The article discusses the regulations for the accounting of nondocumentary securities, as well as the legal implications of various methods of accounting and procedures for transferring ownership rights to securities. ...
Added: September 3, 2025
Soldatova A., Сберегательное дело за рубежом 2022 Т. 3 С. 47–57
Against the background of growing interest of private investors in stock market instruments, the concept of an "all-weather" or "eternal" portfolio is becoming popular. This article examines the origins of modern portfolio theory, analyzes the features of the formation of an "all-weather" portfolio depending on the stages of the economic cycle, and provides indicators for ...
Added: July 8, 2025
Gazman V. D., Финансы и бизнес 2024 Т. 20 № 4 С. 124–134
В статье рассмотрена эмиссионная деятельность в сделках секьюритизации лизинговых активов ведущей в Европе и в мире автолизинговой компании. Представлен профиль лизингодателя, характеристики его развития, пропорции, которые складываются между средствами, полученными в ходе секьюритизации, и стоимостью новых заключенных договоров лизинга. Определены основные преимущества эмиссии облигаций, как эффективного способа финансирования деятельности компаний, включая гибкость условий (выбор типа ...
Added: February 5, 2025
Makushkin M., Финансовый журнал 2024 Т. 16 № 5 С. 43–59
Additional Tier 1 bonds (AT1 bonds) are hybrid financial instruments issued by banks under Basel III. In case of a threat to the financial stability of an institution, these bonds can be converted into equity or written down to help the bank meet capital requirements. AT1 bonds are designed to insure a bank against a ...
Added: November 19, 2024
МакНайт Ф. Д., Managerial Finance 2016 Vol. 42 Article 11
Added: November 13, 2024
Makarova V. A., В кн.: "Менеджмент XXI века: экономика, общество и образование в условиях глобального социально-политического шока": Материалы XXI Международной научно-практической конференции.: СПб.: РГПУ им. А.И. Герцена, 2023. С. 174–176.
This article presents an approach to identify signs of a change in the investment strategy of investors towards the so-called flight to safety as a response to the growing uncertainty of investment returns. Based on the analysis of the term structure of the interest rate and the study of the dynamics of the government bond ...
Added: February 25, 2024
Selivanovskiy A., Закон 2024 № 1 С. 148–158
The article presents a research of the conditions for calculating interest on the nominal value of bonds. The question is raised about the integrity of issuers when establishing the amount of coupon payments according to the formulas established by the bond issuers themselves. ...
Added: February 3, 2024
Umar Z., Abrar A., Hadhri S. et al., Energy Economics 2023 Vol. 119 Article 106562
We analyze the impact of oil price shocks on three unique fixed income asset classes representing conventional
bonds, Islamic bonds (sukuks) and green bonds by employing network dynamic connectedness framework. Our sample period ranges from May 1, 2009, to March 1, 2022, covering the aftermath of global financial crisis, subsequent boom and bust of oil markets and ...
Added: June 22, 2023
Rossokhin V. V., Chaprak N., Чебоксары: ИД «Среда», 2022.
В монографии рассмотрены теоретические аспекты, раскрывающие сущность облигации, как ценной бумаги. Проведён анализ рисков инвестирования в данный класс долговых ценных бумаг. Большинство эмпирических исследований посвящено анализу высокодоходных облигаций (ВДО) с различных точек зрения.
Эмпирические исследования посвящены методам оценки кредитного риска и влиянию различных факторов на эффективную доходность выбранного типа долговых ценных бумаг. Отдельное внимание, кроме кредитного ...
Added: December 6, 2022
Umar Z., Bossman A., Choi S. -. et al., Finance Research Letters 2022 Vol. 48 Article 102991
We investigate the impact of geopolitical risk (GPR) generated by the Russian-Ukrainian conflict on European and Russian bonds, equity, and global commodity markets. We employ the GPR index and apply the quantile-on-quantile regression approach to the GRP index and financial asset returns. Our findings indicate that (i) most assets are in a mix of negative ...
Added: May 25, 2022
Чебоксары: Издательский дом "Среда", 2020.
The concept of bonds is disclosed, the procedure for attracting borrowed funds through the bond placement tool is considered, the list of factors determining the credit rating of JSC "Russian Post" is clarified and supplemented. ...
Added: October 26, 2021
Kosov M., Рогова Т. М., Зотов А. Е., Вестник экономической безопасности 2020 № 6 С. 44–49
Consideration of the functioning of the legal regime of green bonds is highly relevant due to a number of characteristic features of the functioning of the domestic economy and economic thought. Among them, there is a high need for financing necessary modern environmental projects on the territory of the Russian Federation, the development of the ...
Added: September 2, 2021
Aleksandrova M., Средние века 2020 Т. 81 № 2 С. 46–74
English royal borrowing from foreign merchants on the Antwerp bourse from 1544 to 1574 is a well-know phenomenon. It is not clear yet how exactly the royal loans were formalized. This article seeks to reconstruct the use of certain financial instruments, such as bonds and bills of exchange, in contracting loans for the English crown. ...
Added: June 22, 2020
Selivanovskiy A., Закон 2020 № 2 С. 142–157
In the Russian financial market, there is a significant redistribution of individual investment: funds flow from deposits to the securities market as citizens purchase bonds. The two types of investment appear to be similar, but bonds are much more complex and require more attention than deposits. Their comparison reveals that each investment tool has its ...
Added: March 12, 2020