+7 925 966 4690, 9am6pm (GMT+3), Monday – Friday
ИД «Финансы и кредит»

JOURNALS

  

FOR AUTHORS

  

SUBSCRIBE

    
Economic Analysis: Theory and Practice
 

The true position of the Russian financial market

Vol. 23, Iss. 10, OCTOBER 2024

Received: 11 July 2024

Received in revised form: 7 August 2024

Accepted: 26 August 2024

Available online: 30 October 2024

Subject Heading: ANALYSIS OF FINANCIAL CAPITAL

JEL Classification: E62, Е63, G10

Pages: 1993-2006

https://doi.org/10.24891/ea.23.10.1993

Valerii V. SMIRNOV I.N. Ulianov Chuvash State University (ChuvSU), Cheboksary, Chuvash Republic, Russian Federation
v2v3s4@mail.ru

https://orcid.org/0000-0002-6198-3157

Subject. The article addresses the true position of the Russian financial market.
Objectives. The purpose is to reveal the true position of the Russian financial market in the context of sanctions.
Methods. The study rests on the application of general scientific methods, primarily, the analysis and synthesis of data, and special economic and mathematical methods, like correlation and regression analysis.
Results. The paper established that the true position of the Russian financial market under sanctions is associated with a focus on capital withdrawal to a greater extent by non-financial organizations, at the expense of domestic borrowings through debt securities, and shifting debt to households.
Conclusions. The revealed characteristics of the Russian financial market, describing its true position under the sanctions, enable the expert community to correctly determine its parameters, and the monetary authorities to choose the optimal financial instruments.

Keywords: share, external debt, international investment position, federal loan bonds, financial market

References:

  1. Kobzar'-Frolova M.N., Vasyanina E.L. [Discussion About the Legal Nature of the Russian Financial Market]. Prolog: zhurnal o prave, 2024, no. 1. (In Russ.) URL: Link
  2. Hoque M.E., Sahabuddin M., Bilgili F. Volatility interconnectedness among financial and geopolitical markets: Evidence from COVID-19 and Ukraine-Russia crises. Economic Analysis and Policy, 2024, vol. 82, pp. 303–320. URL: Link
  3. Yousfi M., Farhani R., Bouzgarrou H. From the pandemic to the Russia–Ukraine crisis: Dynamic behavior of connectedness between financial markets and implications for portfolio management. Economic Analysis and Policy, 2024, vol. 81, pp. 1178–1197. URL: Link
  4. Sohag K., Kalina I., Elsayed A.H. Financial stress in Russia: Exploring the impact of oil market shocks. Resources Policy, 2023, vol. 86, part B, no. 104150. URL: Link
  5. Khmyz O.V., Platonova I.N., Lukashenko I.V. [Risks in the strategies of global hedge funds]. Ekonomika, predprinimatel'stvo i pravo = Journal of Economics, Entrepreneurship and Law, 2023, vol. 13, no. 11, pp. 4861–4878. (In Russ.) URL: Link
  6. Zihao Ch., Shuo M. [Impact of US sanctions against Chinese companies on China's national security]. Voprosy natsional'nykh i federativnykh otnoshenii = Issues of National and Federative Relations, 2023, vol. 13, no. 4, pp. 1765–1773. (In Russ.)
  7. Belova M.T., Savosina E.I., Sushkov A.A. [Development Perspectives of the Russian Corporate Bond Market under Sanctions]. Finansovye rynki i banki = Financial Markets and Banks, 2023, no. 4, pp. 53–58. URL: Link (In Russ.)
  8. Takhumova O.V., Borskovets M.S., Kichkar' S.V., Tutukova F.A. [Analysis of the investment component of the development of the Russian Federation]. Evraziiskoe prostranstvo: ekonomika, pravo, obshchestvo, 2023, no. 5, pp. 10–15. (In Russ.)
  9. Salimian S., Ashrafi A. Resolving Conflicts and Strengthening International Relations with Investment: Game Theory Approach. Journal of Applied Economic Research, 2024, vol. 23, no. 1, pp. 59–81. URL: Link
  10. Aysun U., Clarke K., Small O. Capital outflow restrictions and dollar drainage. Economic Systems, 2024, vol. 48, iss. 2, no. 101176. URL: Link
  11. Tadevosyan Z.A., Hovnanyan L.A. Analysis of Factors Hindering the Development of the Investment Market and Relevant Issues in Armenia. Region i mir = Region and the World, 2022, vol. 13, no. 1, pp. 119–126. URL: Link analysis-of-factors-hindering-the-development-of-the-investment-market-and-relevant-issues-in-armenia/viewer
  12. Vazieva L.T., Sharopatova A.V., Tsutsieva M.V., Kadieva M.E. [Capital outflow from Russia in the current economic situation]. Ekonomika i upravlenie: problemy, resheniya, 2023, vol. 3, no. 5, pp. 110–116. (In Russ.) URL: Link
  13. Pradhan A.K., Bhujabal P., Sethi N. Capital flight from BRICS nations: Does every cloud have a silver lining? Heliyon, 2024, vol. 10, iss. 2, 2024, e24977. URL: Link
  14. Gafurova G.T., Notfullina G.N., Kovaleva E.R. [Trends of the development of unit investment funds under sanctions]. Russian Journal of Economics and Law, 2023, vol. 17, no. 3, pp. 490–514. (In Russ.) URL: Link
  15. Kiseleva N.P. [Statistical analysis of the activities of mutual funds]. Innovatsii i investitsii = Innovation and Investment, 2022, no. 3, pp. 80–85. URL: Link (In Russ.)
  16. Volodin Yu.S., Grebenik V.V. [Transformation of the Russian collective investment market]. Vestnik Evraziiskoi nauki, 2022, vol. 14, no. 6. (In Russ.) URL: Link
  17. Ivanova K.A. [Individual investment account as a tool for increasing the investment activity of the population]. Vestnik Omskogo universiteta. Seriya: Ekonomika = Herald of Omsk University. Series: Economics, 2022, vol. 20, no. 4, pp. 18–27. URL: Link (In Russ.)
  18. Degtyareva I.V., Shalina O.I. [Transformation of the financial market under the influence of innovative processes]. Ufimskii gumanitarnyi nauchnyi forum, 2022, no. 4. (In Russ.) URL: Link 2022_12_Degtyareva-Irina-Viktorovna-Shalina-Olga-Igorevna.pdf

View all articles of issue

 

ISSN 2311-8725 (Online)
ISSN 2073-039X (Print)

Journal current issue

Vol. 23, Iss. 10
October 2024

Archive