|
Issue |
Title |
|
No 12 (2024) |
Theoretical model of macroprudential add-ons to risk-weights for foreign-currency denominated loans |
Abstract
|
H. I. Penikas |
|
No 12 (2024) |
The dynamics of volatility spillovers among Russian economy sectors |
Abstract
|
Yu. V. Kudryavtseva, A. G. Mirzoyan |
|
No 10 (2024) |
Boards of directors in Russian companies in the context of ESG transformation |
Abstract
|
I. V. Ivashkovskaya, E. Y. Makeeva, K. A. Popov |
|
No 10 (2024) |
Assessment of the scale of money laundering in Russia |
Abstract
|
N. Yu. Tanyushcheva, E. T. Isakova |
|
No 8 (2024) |
How does bank lending affect small and medium-sized businesses? |
Abstract
|
A. V. Mishura |
|
No 8 (2024) |
Reform of capital adequacy regulation in the world Islamic banking market |
Abstract
|
H. I. Penikas, V. Y. Stefanenko |
|
No 5 (2024) |
The evolution of the debt—equity doctrine in the light of financial instruments’ digitalization |
Abstract
|
K. V. Krinichansky, V. E. Ponamorenko |
|
No 3 (2024) |
Financial structure: A new aspect of analysis and new results |
Abstract
|
Yu. A. Danilov, D. A. Pivovarov |
|
No 3 (2024) |
The concept of banking capital risk-sensitivity revisited |
Abstract
|
A. Y. Simanovskiy |
|
No 6 (2023) |
Modeling of the corporate capital structure |
Abstract
|
E. G. Demidova, E. M. Bogatov |
|
No 6 (2023) |
Finance and growth nexus in Russia: Does the SMEs channel matter? |
Abstract
|
K. V. Krinichansky, M A. Yurevich, A. V. Fatkin |
|
No 6 (2023) |
Retail loan pricing determinants in Russia |
Abstract
|
H. I. Penikas |
|
No 3 (2023) |
Is it worth limiting the ownership and investment of foreign companies? (Stock market case) |
Abstract
|
A. N. Nepp |
|
No 3 (2023) |
Mortgage lending and housing prices in Russia: Unfounded accusations? |
Abstract
|
A. V. Mishura |
|
No 10 (2022) |
Lombard List formation as a distorting signal of the Bank of Russia |
Abstract
|
O. V. Telegin |
|
No 10 (2022) |
Financial development: The concept and prospects |
Abstract
|
K. V. Krinichansky, N. E. Annenskaya |
|
No 6 (2022) |
Islamic finance in the eyes of businesses and population of the CIS countries |
Abstract
|
A. Z. Nagimova |
|
No 6 (2022) |
Stablecoins as a new form of digital money: Emission, circulation, regulation and risk management |
Abstract
|
S. A. Andryushin, D. A. Kochergin |
|
No 6 (2022) |
Risks. Senses. Capital. On the concept of banking capital risk-sensitivity |
Abstract
|
A. Y. Simanovskiy |
|
No 11 (2021) |
Russian stock market: Trends, challenges and solutions. Academic view |
Abstract
|
A. E. Abramov, A. D. Radygin, M. I. Chernova |
|
No 11 (2021) |
Retail financial markets as a driver for the development of financial sector |
Abstract
|
V. A. Pankova |
|
No 11 (2021) |
Uncharted waters: Investors get access to foreign exchange-traded funds |
Abstract
|
S. R. Moiseev |
|
No 10 (2021) |
Premium for implicit deposit insurance within Russian state banks |
Abstract
|
H. I. Penikas |
|
No 10 (2021) |
Strategies of financial behavior of Russians: Concept, dynamics, factors |
Abstract
|
O. E. Kuzina, D. V. Moiseeva |
|
No 10 (2021) |
The impact of a country’s level of development on the nexus between bank lending structure and economic growth |
Abstract
|
I. N. Gurov, E. Y. Kulikova |
|
No 5 (2021) |
The concept of sustainable finance and the prospects for its implementation in Russia |
Abstract
|
Yu. A. Danilov |
|
No 5 (2021) |
Islamic finance in Russia: Evidence from market participants |
Abstract
|
A. Z. Nagimova |
|
No 5 (2021) |
Risk modeling of macroeconomic shocks and their effects on foreign debt of Russian companies |
Abstract
|
S. A. Perekhod |
|
No 5 (2021) |
The global financial cycle: Notion, empirical evidence and policy implications |
Abstract
|
M. I. Stolbov |
|
No 5 (2021) |
The global financial safety net: Evolution of the anti-crisis function in the global financial architecture |
Abstract
|
E. Y. Vinokurov, A. S. Levenkov |
|
No 9 (2020) |
Dedollarization and settlements in national currencies: Eurasian and Latin American experience |
Abstract
|
V. Y. Mishina, l. I. Khomyakova |
|
No 9 (2020) |
Determinants of return rates of Russian equity and bond mutual funds: Active investment strategies and commissions |
Abstract
|
T. V. Teplova, T. V. Sokolova, A. Fasano, V. A. Rodina |
|
No 2 (2020) |
Russian Stock Index volatility: Oil and sanctions |
Abstract
|
Artem D. Aganin |
|
No 2 (2020) |
The “dividend puzzle” and the Russian stock market. Part 2 |
Abstract
|
Alexander E. Abramov, Alexander D. Radygin, Maria I. Chernova, Revold M. Entov |
|
No 1 (2020) |
The “dividend puzzle” and the Russian stock market. Part 1 |
Abstract
|
A. E. Abramov, A. D. Radygin, M. I. Chernova, R. M. Entov |
|
No 1 (2020) |
Consequences of interest rates benchmarks reform |
Abstract
|
S. R. Moiseev |
|
No 1 (2020) |
The asymmetry of information waves in economic thinking: The experience of financial crises |
Abstract
|
D. E. Konoplev |
|
No 3 (2019) |
Drivers and brakes on the development of corporate bond markets of developed and developing countries |
Abstract
|
Tamara V. Teplova, Tatyana V. Sokolova, Kristina V. Galenskaya |
|
No 3 (2019) |
Modelling financial distress of Russian industrial companies, or What bankruptcy analysis can tell |
Abstract
|
Anastasia N. Mogilat |
|
No 3 (2019) |
The present state of global scientific debate in the field of financial development |
Abstract
|
Yuriy A. Danilov |
|
No 3 (2019) |
Pricing models of shares of Russian companies and their practical application |
Abstract
|
Alexander E. Abramov, Alexander D. Radygin, Maria I. Chernova |
|
No 7 (2017) |
Private central banks |
Abstract
|
S. Moiseev |
|
No 7 (2017) |
Hidden “holes” in the capital of not yet failed banks in Russia: An estimate of the scope of potential losses |
Abstract
|
M. Mamonov |
|
No 7 (2017) |
The impact of banks’ capital adequacy ratio on bank lending channel of monetary transmission in Russia |
Abstract
|
O. Borzykh |
|
No 11 (2016) |
Banking competition on the market for loans in russia: the impact on credit activity of banks and an effect of the economic crisis of 2008-2009 |
Abstract
|
M. Mamonov |
|
No 11 (2016) |
Assessment of the place of the Russian Federation in the global financial market |
Abstract
|
Y. Danilov |
|
No 2 (2016) |
Functioning of monetary and financial system and the depression of the Russian economy |
Abstract
|
V. Manevitch |
|
No 2 (2016) |
Adventures of the optimum currency areas theory |
Abstract
|
S. Moiseev |
|
No 2 (2016) |
Basel III: In quest for criteria and scenarios of the banking regulation reform advancement |
Abstract
|
E. Dzhagityan |
|
No 5 (2014) |
Subjective Image of the Forthcoming - How FX Marketparticipants Construct Their prospects on the Nearest future |
Abstract
|
V. Evstigneev |
|
No 5 (2014) |
Changes in the U.S. banking Sector architectureas a Result of 2008-2009 Crisis |
Abstract
|
P. Zakharov |
|
No 7 (2013) |
Economic Turnovers and Financial Vacuum Cleaners |
Abstract
|
O. Dmitrieva |
|
No 7 (2013) |
Predicting Turning Points of the Business Cycle: Do Financial Sector Variables Help? |
Abstract
|
A. Pestova |
|
No 7 (2013) |
The Impact of Alternative Models of Leasing on Financing Investments |
Abstract
|
V. Gazman |
|
No 4 (2007) |
The Influence of the Stock Market on Economic Dynamics in the Overlapping Generations Model |
Abstract
|
N. Rozanova, A. Nazarenko |
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1 - 55 of 55 Items |
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