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FINANCIAL ECONOMICS

 
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) 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 6 (2023) Modeling of the corporate capital structure Abstract
E. G. Demidova, E. M. Bogatov
 
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) Financial development: The concept and prospects Abstract
K. V. Krinichansky, N. E. Annenskaya
 
No 10 (2022) Lombard List formation as a distorting signal of the Bank of Russia Abstract
O. V. Telegin
 
No 6 (2022) Risks. Senses. Capital. On the concept of banking capital risk-sensitivity Abstract
A. Y. Simanovskiy
 
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 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) The impact of banks’ capital adequacy ratio on bank lending channel of monetary transmission in Russia Abstract
O. Borzykh
 
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 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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