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Влияние мирового финансово-экономического кризиса на банковскую систему Аргентины
Банковские услуги. 2010. № 10. С. 13–20.
Прокудина Е. Б.
Argentina, the second largest country in Latin America, hardly recovered form the recession of the year 2001, faces the crisis again in 2008. First of all, the crisis affected the credit and banking sphere of the country, reducing the volumes of credit and deposit. But during the crisis, Argentina managed to carry out the restructuring of the financial system. The Global financial and economic crisis has shown the importance of the investors' confidence.
Research target:
Economics and Management
Political Science, International Relations, and Public Administration
Priority areas:
economics
Language:
Russian
Keywords: кредитбанкибанковская системаликвидностьbanking systembank depositsфинансово-экономический кризисliquidityeconomic and financial crisisbank creditbank crisisбанковский кризисстабилизация экономикиArgentinaАргентинабанковский кредитбанковский депозитэкономика отдельных странэкономические циклы и кризисыэкономические проблемы развивающихся стран
Губский А. Д., Сравнительная политика 2025 Т. 16 № 2 С. 52–71
The resource-rich Essequibo region, located in northeastern South America and occupying two-thirds of the territory of the Co-operative Republic of Guyana, has long been disputed by the Bolivarian Republic of Venezuela. At the same time, the tensions have been escalating in recent years, making this conflict one of the most explosive in Latin America, which ...
Added: September 14, 2026
Губский А. Д., Россия и Америка в XXI веке 2025 № 12
The article is devoted to the current state of security cooperation between the USA and Guyana. The study examines the strategic interests of the parties and the main directions of bilateral military-political cooperation, which has noticeably intensified after the discovery of oil fields on the shelf of the Cooperative Republic. The results obtained indicate the ...
Added: September 14, 2026
Губский А. Д., Россия и Америка в XXI веке 2024 № 12
The article is devoted to the impact of the activities of the multinational corporation ExxonMobil on the development of the Cooperative Republic of Guyana. The study examines the socio-economic, political and environmental consequences of the development and production of oil by an American company on the shelf of a South American country. The results show ...
Added: September 14, 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
Novik N., Galimullin E. Z., Мировая экономика и международные отношения 2026 Т. 70 № 9 С. 100–112
The article offers a comparative analysis of the Transarctic Transport Corridor (TTC) and the International North–South Transport Corridor (INSTC) as elements of Russia’s evolving response to systemic shifts in the international order. Drawing on the theory of regional security complexes and the conceptual framework of connectivity, the study examines how both corridors function within a ...
Added: September 12, 2026
Luzyanin S., Умаров О. М., Вестник Российского университета дружбы народов. Серия: Политология 2026 Т. 26 № 2 С. 240–255
A digital model for neutralizing challenges and threats facing Central Asia has been developed, along with a framework for its implementation based on Russian and Central Asian experience in the sphere of regional security. ...
Added: September 11, 2026
Киселева Д. А., Сунгуров А. Ю., Вестник Томского государственного университета. Философия. Социология. Политология 2025 № 86 С. 159–170
The article presents the results of a study of the experience of developing participatory budgeting in St. Petersburg and the subsequent attempt to use this mechanism not only for local problems solution, but also for digitalization development. Data were collected by interviewing participants (including organizers) of the projects “Your Budget” and “Your Budget 2.0” and ...
Added: September 10, 2026
Grishina D., Soloviev A., Международная аналитика 2026 Т. 17 № 2 С. 10–29
This publication analyzes the historical and geopolitical context of the formation and development of the concept of the “Russian threat” – a public narrative about the territorial ambitions of the Russian Empire that became widespread in Northeast Asia in the late 19th and early 20th centuries. Using the example of the concept’s origins and transformation ...
Added: September 10, 2026
ROUTLEDGE JOURNALS, TAYLOR & FRANCIS LTD, 2027.
This Handbook examines relations between Japan and Korea from 1850 to the present.
Analyzing almost 200 years of Japan and Korea relations uncovers a relationship that has been both congenial and confrontational. This Handbook examines these relations in this age of modernity by dividing it into four periods: precolonial relations (1850–1905); colonial rule (1905–1945); post-war/post-liberation (1945–1965); ...
Added: September 9, 2026
Soldatova A., В кн.: Международный банковский бизнес: проблемы и перспективы.: Прометей (МПГУ), 2026. С. 120–140.
This monograph addresses the theory and practice of international banking, including the assessment of financial relationships between business entities in the current environment, areas of cooperation in project finance, financial technologies, ensuring the security of banking operations, the development of settlement and depository systems in developing countries, and more.
This research is intended for students studying ...
Added: September 4, 2026
Бровкина Н. Е., Терновская Е. П., Мешкова Е. И. et al., В кн.: Банк в современной экономикеКн. Банк в современной экономике.: М.: КноРус, 2026. С. 127–147.
Banks are the central link in the national financial market and the economy as a whole. The share of bank assets in the asset structure of the Russian financial market, despite a slight decline, remains dominant relative to other participants, reaching 80%.
Russian banks are multifaceted. On the one hand, they provide working capital financing, long-term ...
Added: September 3, 2026
Soldatova A., Сберегательное дело за рубежом 2026 № 1 С. 40–49
Within the classical macroeconomic paradigm, the key interest rate is considered the primary instrument of monetary policy. Through the transmission mechanism, it influences the cost of borrowing and saving, thereby regulating aggregate demand in the economy. Global interest rates today are highly uneven. This article examines the experiences of leading central banks under conditions of ...
Added: September 3, 2026
Zhuravleva T., Afanasev K., Engelmann J. et al., / Series "SSRN Working Paper Series". 2026.
Extortionary ("harassment") bribery can persist even when widely condemned, consistent with a coordination problem sustained by beliefs about what others do and what others consider acceptable. We study whether a minimal institutional featurethe presence of a third-party monitor empowered to punish-shifts (i) normative expectations about extortion and compliance and (ii) empirical expectations about their prevalence. ...
Added: July 22, 2026
Kozlov N., Semenova M., Journal of Corporate Finance Research 2026 Vol. 20 No. 2 P. 108–135
This paper introduces a novel approach to identifying and operationalizing political connections of banks. We manually code 2,598 bankers who owned or worked in 115 Russian banks between 2015 and 2021 to classify political connections and uncover their institutional patterns through cluster analysis. We propose a set of variables that capture the origins, relevance, and ...
Added: July 6, 2026
Mishin A., Guerrieri L., Kim J., / Series 2026-042 "Finance and Economics Discussion Series (FEDS)". 2026.
Within narrowly defined industries, the most productive firms produce far more than the least productive from the same inputs, and this dispersion widens in downturns. We build a tractable representative-agent model in which financial frictions—adverse selection and moral hazard—make firms sort endogenously into lenders, strategic defaulters, and producers. As credit conditions vary, the resulting misallocation ...
Added: June 28, 2026
Власов С. А., Nevalennyi M., Сафиулин Р. Р. et al., / Банк России. Серия Аналитическая записка "Материалы Банка России". 2026.
В аналитической записке обсуждается долгосрочно устойчивый уровень цены на российскую нефть. Это тот уровень, к которому цена нефти, вероятнее всего, будет тяготеть в долгосрочной перспективе. Потребность в его определении возникает по нескольким причинам. Во-первых, цена на нефть остается одним из ключевых экономических показателей российской экономики, определяющих экспорт, обменный курс рубля, прибыль, доходы и расходы бюджета, ...
Added: June 27, 2026
Глазова А. М., Nevalennyi M., Синяков А. А., / Банк России. Серия Препринты Банка России "Серия докладов об экономических исследованиях". 2025. № 154.
The paper proposes a graphical model of a small open economy. The dynamics of the graphical model is then illustrated using impulse responses from the corresponding formal semi-structural model (QPM model). The authors have several goals in preparing this description of the graphical macroeconomic model. The first goal of the paper is to present an adapted ...
Added: June 27, 2026
Mishin A., Guerrieri L., Canzoneri M. et al., / Series 2026-042 "Finance and Economics Discussion Series (FEDS)". 2026.
Added: June 27, 2026
Bogatyrev R., Sandomirskaia M., / NRU Higher School of Economics. Series EC "Economics". 2026. No. 19(1).
This work develops a tractable model of price competition in fragmented markets where consumers consider both local and distant varieties, with cross-regional purchases subject to stochastic costs. Global competition and full localization emerge as polar cases; hybrid competition is not merely intermediate and exhibits distinctive features such as an endogenous price ceiling and non-monotonic entry ...
Added: June 11, 2026
Kravtsova M., Musaev A. U., Welzel C., / Series "SSRN Working Paper Series". 2026.
Elaborating on Welzel et al.'s "Cool Water Theory," our study zooms into the more limited (albeit still varied) framework conditions of Russia's huge territory. Within Russia's confines, we examine how the combination of moderately cool seasons with steady rain (i.e., Cool Water) affects sub-national areas' contemporary societal progress in two modernization indicators: material prosperity in ...
Added: June 3, 2026
СПб.: Издательство МБИ имени Анатолия Собчака, 2025.
Статья посвящена вопросам предоставления субсидий из федерального бюджета коммерческим организациям в условиях санкционных ограничений. Целью исследования является определение особенностей практики предоставления указанных субсидий в контексте процесса, направлений и объектов субсидирования. Результатом исследования является вывод о корректировке системы субсидирования коммерческих организаций, взаимосвязанной по целеполаганию, объемам и временному периоду с иными мерами стимулирования экономического роста в условиях ...
Added: June 1, 2026
Синяков А. А., Зверева В., Шелованова Т. И., / Центральный банк Российской Федерации. Серия 132 / 2024 "Серия докладов об экономических исследованиях". 2024. № 132.
At the end of 2023, Russia updated its Strategy for Improving Financial Literacy and Developing Financial Culture Until 2030. Unlike the previous strategy, the current strategic goals include not only financial literacy but also financial culture. ‘Culture’ is normative and socially preferred behaviour. The updated strategy brings into focus the relationship between financial literacy and responsible financial behaviour. To explore this relationship, the authors rely on data from the All-Russian Survey of Consumer Finance (2020 and 2022). Socially ...
Added: June 1, 2026
Vorchik A., / SSRN. Серия Social Science Research Network "Social Science Research Network". 2026.
This work is devoted to a theoretical explanation of the Easterlin paradox, according to which long-term economic growth does not make average level of people's happiness increasing. By happiness, we mean the intensity of emotions people experience while comparing their new income with its expected value, or the target income with its original value. In the first case, ...
Added: May 31, 2026