Imbalances of external sector of the Russian financial market and approaches of their regulation
- Авторы: Zvonova E.A.1, Navoi A.V.1, Pishchik V.Y.1, Ignatova O.V.1, Prudnikova A.A.1
-
Учреждения:
- Financial University under the Government of the Russian Federation
- Выпуск: Том 27, № 5 (2016)
- Страницы: 585-592
- Раздел: Financial Problems
- URL: https://journal-vniispk.ru/1075-7007/article/view/213675
- DOI: https://doi.org/10.1134/S1075700716050142
- ID: 213675
Цитировать
Аннотация
The article considers the main modern imbalances of external sector of the Russian financial market and the main elements of the new concept of cross-border capital movement of the Russian Federation in the conditions of increasing geopolitical and geo-economic risks for ensuring financial stability and maintenance of long-term economic growth in the country.
Об авторах
E. Zvonova
Financial University under the Government of the Russian Federation
Автор, ответственный за переписку.
Email: rucap233@yandex.ru
Россия, Moscow
A. Navoi
Financial University under the Government of the Russian Federation
Email: rucap233@yandex.ru
Россия, Moscow
V. Pishchik
Financial University under the Government of the Russian Federation
Email: rucap233@yandex.ru
Россия, Moscow
O. Ignatova
Financial University under the Government of the Russian Federation
Email: rucap233@yandex.ru
Россия, Moscow
A. Prudnikova
Financial University under the Government of the Russian Federation
Email: rucap233@yandex.ru
Россия, Moscow
Дополнительные файлы
