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Особенности стратегий компании в состоянии финансового кризиса
Актуальные проблемы гуманитарных и естественных наук. 2010. № 9. С. 160-166.
Швецов М. Н.
Колесникова Е. Н., Банковское дело 2011 № 1 С. 59-62
The article analyzes the condition of the Russian financial markets in the light of the The main routes of the unified governmental monetary and credit policy for 2011-2013 years. ...
Added: December 14, 2012
Simachev Y. V., Danilov Y. A., Yakovlev A. A., Post-Communist Economies 2010 Vol. 22 No. 2 P. 129-140
This article considers the behaviour patterns of Russian “rms before and during the “nancial crisis of 2008…09. To facilitate comparison, we de“ne three main groups of actors at the “rm level in the Russian economy … large, politically connected companies; medium-size “rms that expanded in the 2000s with the help of administrative support, and successful ...
Added: January 14, 2013
Khasyanova S. Y., Дайджест-финансы 2012 № 7 С. 50-55
В условиях нарастания рисков в мировой финансовой системе особую актуальность приобретают вопросы капитализации банков. Целью работы является анализ качества и достаточности капитала российских банков для покрытия рисков. Особое внимание уделено стресс-тестированию банков на устойчивость к внешним шокам. Сделан вывод о том, что «запас прочности» банков РФ адекватен реальному состоянию экономики. Однако выявлено, что различные категории ...
Added: November 21, 2012
Balkovskaya D., Stulova N., International Journal of Business and Social Science 2012 Vol. 3 No. 1 P. 59-65
The process of the IPO of banks in Russia is its infancy but the rapid growth is forecasted. This context raises the issue of the factors determining the floated banks stock value. The results of the research on 2007-2009 Russian data showed that the bank stock price is dependent on the macroeconomic indicators (such as ...
Added: September 29, 2012
Cherkasova V. A., Фрадкина М. М., Корпоративные финансы 2010 № 2(14) С. 68-75
Any company in market economy faces with a problem of acceptance of strategic decisions, under conditions of uncertainty concerning the future. Under conditions of economic crisis when level of uncertainty increases, this problem becomes especially actual. One of methods for reduction the influence of the uncertainty factor by the company activity, received a new push ...
Added: October 28, 2012
Kaysarov A. A., Экономическое возрождение России 2012 № 2(32) С. 18-25
In article models of carrying out of strategic changes in conditions of financial crisis are considered. The author offers classification of strategic changes in the organization on which basis it is possible to define management types in a crisis situation. We consider four types of strategic management in a crisis situation which are directed on ...
Added: January 24, 2013
Barajas A., Rodríguez P., International Journal of Sport Finance 2014 Vol. 9 No. 1 P. 73-90
European football in general and Spanish football in particular is experiencing huge financial difficulties. This paper analyzes Spanish clubs during the period from 2007 until 2011, using Altman’s models to classify clubs according to their Z-score values. Through these models, the determinants of the clubs’ poor financial situation are identified. The evidence suggests that Spanish ...
Added: February 5, 2015
Томашук И. О., Вестник федерального бюджетного учреждения "Государственная регистрационная палата при Министерстве юстиции Российской Федерации" 2013 № 1 С. 26-34
Foreign direct investment provides receiving companies with not only capital necessary for their development but with modern manufacturing technologies and management experience. The article covers investment made into Russian before the financial crisis had begun and after that. Their volume and dynamics are analyzed in comparison with the other BRIC countries i.e. Brazil, Russia, India, ...
Added: September 13, 2013
Швецов М. Н., Альманах современной науки и образования 2010 № 7(38) С. 165-172
Автором предложена система практических рекомендаций по достижению долгосрочной стабильности и развития конкурентных преимуществ для компаний, находящихся в состоянии финансового кризиса. Для достижения данной цели необходимо решить следующие задачи:
1) выявить факторы, которые воздействуют на изменение состояний компании;
2) определить методику определения кризисного состояния компаний;
3) выявить стратегические альтернативы, которые возникают перед компанией, находящейся в состоянии финансового кризиса;
4) представить ...
Added: November 7, 2012
Aleskerov F. T., Egorova L. G., Экономический журнал Высшей школы экономики 2010 Т. 14 № 4 С. 492-506
Analyzing the reasons of financial crises in the book «The Black Swan» N.N. Taleb concludes that modern economic models badly describe reality for they are not able to forecast such crises in advance. We tried to present processes on stock exchange as two random processes one of which happens rather often (regular regime) and the ...
Added: October 13, 2012
Makushina E., Стефанская А. Ю., Международный бухгалтерский учет 2014 № 5 (299) С. 15-27
This article examines the correlation between the fair value accounting of financial assets and the financial results of the Russian Federation credit institutions during the period from 2008 to 2012. In order to answer this question, the authors preliminarily discuss the definition of the financial assets and fair value. Finally, the article analyzes the fair ...
Added: January 26, 2014
Кузьмичев А. Г., Российское предпринимательство 2011 № 10-2 С. 133-141
The article considers the methods of identification and graphic interpretation of the network structures of stock markets using the correlation analysis for the stock returns and stock indices. Based on the data of the Russian stock market the author shows that its basic structure can be obtained by building a maximum spanning tree of the ...
Added: November 30, 2012
Колесникова Е. Н., Регион: Экономика и Социология 2010 № 2 С. 154-167
The paper analyses how the individuals' deposits influences the resources of Russian banks. We show that the depositors panic in the crisis has a serious effect on stability of both bank and national bank system. We show the tendencies how the volume and structure of individuals' deposits change; how to avoid the rash of withdrawals ...
Added: September 28, 2012
Dagaev A. A., Федерализм 2011 № 1(81) С. 75-84
The paper studies the impact of the global financial crisis on the development of integration processes of the CIS countries. The appearance of certain structural economic turbulence in the post-Soviet space has been proved by calculating rank concordance coefficients for changes of six basic macroeconomic indicators in 2009. It is shown that these changes are ...
Added: January 4, 2013
Demidova O., Signorelli M., Post-Communist Economies 2012 Vol. 24 No. 2 P. 191-217
In spite of a growing body of literature investigating the determinants of youth unemployment, studies at sub-national level are still scarce, especially for Russian regions. This article is an innovative attempt to analyse econometrically the key factors affecting the youth unemployment rate and the ratio between youth and total unemployment rates for 75 Russian regions ...
Added: September 3, 2012
Михеенко Ю. В., Podsypanina T., Проблемы теории и практики управления 2010 № 12 С. 118-123
The authors quote an algorithm to design indicators, which help develop a comprehensive vision of the business. They propose a new approach to system formation, special attention is paid to the principles of efficient operation of the given system. ...
Added: October 11, 2012
Belov L. B., Логистика сегодня 2010 № 2 С. 92-100
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Added: October 17, 2012
М. : Государственный университет Министерства финансов Российской Федерации, 2012
Сборник научных статей подготовлен на основе докладов участников III Международной научно-практической конференции «Глобализация и выбор стратегии экономики России». ...
Added: June 20, 2012
Liubakova (Vladimirova) N. M., Российское предпринимательство 2008 Т. 1 № 8 С. 63-68
В статье представлена модель управления межорганизационными взаимодействиями в рамках формирования и реализации международной стратегии. ...
Added: November 20, 2012
Mezentsev V., Вестник Южно-Уральского государственного университета. Серия: Экономика и менеджмент 2010 № 39(215) С. 15-24
The classical and synthetic securitizations and their historical development from the moment of their origin are observed in the article. The main instruments of securitization, their circuit engineering and main basic assets are described. In addition the global financial crisis, its development and preconditions are observed. The role the instruments of securitization and the contractor ...
Added: October 22, 2012
Hershey : IGI Global, 2012
The provision of services in both public and private sectors has increased dramatically over the last decade and a half. Many economies have shifted to a predominantly services model, leaving manufacturing and agriculture in their shadow.
Service Science Research, Strategy and Innovation: Dynamic Knowledge Management Methods explores areas such as strategy development, service contracts, human ...
Added: November 13, 2012
Milshina Y., Вестник Института экономики Российской академии наук 2012 № 2 С. 136-142
The paper contains detailed analysis of changes in sphere of state-private partnership which have taken part in the world and in Russia as a result of global financial crisis. The author describes new financial tools of state-private partnership development - infrastructural bonds and life cycle contracts. Besides it is shown that state-private partnership can serve ...
Added: September 29, 2015
Архипов В., Dagaev A. A., Измайлов Р. et al., М. : Кучково поле, 2011
В книге излагается история, текущее положение и перспективы развития на ближайшее будущее двусторонних политических и социально-экономических отношений между Российской Федерацией и Греческой Республикой, включая взаимодействие этих стран в рамках Организации черноморского экономического сотрудничества, с учетом последствий глобального финансового кризиса, а также проблемной ситуации в зоне евро, на начальном этапе которой произошел финансовый кризис в Греции. ...
Added: March 14, 2013
Гордейчук Е. Н., Экономический анализ: теория и практика 2010 № 34(199) С. 48-60
В статье рассмотрены наиболее популярные показатели ожиданий рыночных инвесторов, которые обычно используются для построения инвестиционных стратегий. Представлено их подробное описание и отмечены присущие им недостатки. Предлагается использовать инновационный инструмент - функцию абсолютного неприятия риска. Доказывается большая эффективность инвестирования на основе предлагаемого индикатора. ...
Added: October 13, 2012