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Forecasting Financial Crises by Using Key Indicators in Developing Countries

https://doi.org/10.32609/0042-8736-2011-12-35-45

Abstract

This paper presents the method of forecasting financial crises in developing countries based on a list of crisis indicators. It helps find critical indicators and the combination of key indicators using modern econometric modeling.

About the Authors

E. Fedorova
All-Russian State Distance-Learning Institute of Finance and Economics
Russian Federation


I. Lukasevich
All-Russian State Distance-Learning Institute of Finance and Economics
Russian Federation


References

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Review

For citations:


Fedorova E., Lukasevich I. Forecasting Financial Crises by Using Key Indicators in Developing Countries. Voprosy Ekonomiki. 2011;(12):35-45. (In Russ.) https://doi.org/10.32609/0042-8736-2011-12-35-45

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ISSN 0042-8736 (Print)