MACROECONOMIC PROSPECTS OF THE RUSSIAN FINANCIAL MARKET
Abstract
The article views some theoretical aspects of the financial sector development, and its features at the active phase of crisis and in post-crisis period. The author presents his own view on the topical problems of improving the system of state regulation of financial market under the modern conditions.
Conflicts of Interest Disclosure:
The authors declares that there is no conflict of interest.
Article info:
Date submitted: 11.10.2021
Published: 30.09.2011
The author has read and approved the final manuscript.
Peer review info:
"Russian Journal of Economics and Law" thanks the anonymous reviewer(s) for their contribution to the peer review of this work.
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About the Author
L. S. Orlov
State Educational Establishment of Higher Professional Education «Kazan State Technical University named after A.N.Tupolev»
Russian Federation
References
1. Нарышкин С. Инвестиционная безопасность как фактор устойчивого экономического развития // Вопросы экономики. - 2010. - № 5. - С. 16-25.
2. URL: www.economy.gov.ru
3. URL: www.minfin.ru
4. URL: www.fcsm.ru
5. Сорокин Д. О стратегии развития России // Вопросы экономики. - 2010. - № 8. - С. 28-40.
6. Российским биржам пригрозили объединением // Коммерсант. - 2010. - 6 декабря.
For citations:
Orlov L.S.
MACROECONOMIC PROSPECTS OF THE RUSSIAN FINANCIAL MARKET. Actual Problems of Economics and Law. 2011;(3):25-27.
(In Russ.)
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