The objective of the journal is to provide an opportunity to the scientific and business community to publish original research findings, draw attention to promising and important fields of economic science, strengthen the comprehensive and useful exchange of views between the scientific and business communities in Russia and abroad.
The journal’s main task is to publish original theoretical and practical articles covering topical issues of macro-and microeconomics, methodology and content of the banking and financial analysis, monitoring and forecasting of economic potential.
The journal’s thematic focus
use mathematical apparatus for analytical calculation: mathematical economics, econometrics, applied statistics, decision theory, discrete mathematics and other methods used in economic-mathematical modeling
analysis and modeling of processes in the financial sector of the economy, development of methods of financial mathematics and actuarial calculations
economic-statistical study of the effectiveness of the functioning of enterprises and organizations, including financial, insurance companies, mutual funds, investment and pension funds
methods of measuring, monitoring and forecasting of financial, insurance, banking and business-risks, decisions under conditions of uncertainty and risk
study of reproduction of population, spheres of social, economic, financial, social life to identify, analyze, forecast and simulate the current situation and develop promising options for the development of enterprises, organizations and sectors of the economy of Russia and other countries
trends of differentiation and score the savings capacity of households
fundamentals of cost of various objects of ownership
valuation of financial assets: problems and approaches
evaluation issues and prospects of intellectual capital
features of the evaluation of innovation
theoretical and methodological framework for assessing the profitability of financial instruments