ON MONETARY AND BUDGET APPROACHES IN RUSSIA IN 2022–2024

M. Ershov, A. Tanasova, M. Tskhovrebov
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引用次数: 5

Abstract

The situation in the global economy remains difficult and the level of uncertainty about future prospects remains high. This is largely due to the ongoing pandemic, the beginning of monetary tightening in leading economies, the generally changing conditions in global financial markets, etc. In such conditions, it becomes important for the Russian economy to strengthen domestic sources in order to maintain economic growth and ensure stable high rates. The key mechanisms for this are budgetary and monetary policy. However, despite the fundamentally changing conditions in the global economy and financial system, the approaches that were previously used by the Russian monetary authorities generally remain the same. The authors provide an analytical view of a number of approaches outlined in two key documents — the Federal Budget of the Ministry of Finance of the Russian Federation and the Guidelines for the Monetary Policy of the Bank of Russia for 2022–2024. The inconsistence of the toughening of approaches in these two documents is substantiated. The importance of more active participation of the monetary authorities in providing favorable conditions for business and the population and, in general, in providing opportunities for economic growth is indicated.
关于2022-2024年俄罗斯的货币和预算方法
世界经济形势依然困难,未来前景的不确定性依然很大。这主要是由于目前的大流行病、主要经济体开始收紧货币政策、全球金融市场状况普遍变化等原因。在这种情况下,俄罗斯经济必须加强国内来源,以保持经济增长并确保稳定的高利率。实现这一点的关键机制是预算和货币政策。然而,尽管全球经济和金融体系的条件发生了根本性的变化,但俄罗斯货币当局以前使用的方法总体上保持不变。作者对两份关键文件(俄罗斯联邦财政部联邦预算和俄罗斯银行2022-2024年货币政策指南)中概述的一些方法进行了分析。这两份文件中强化方法的不一致性得到了证实。报告指出,货币当局更积极地参与为企业和人民提供有利条件,以及总的来说为经济增长提供机会的重要性。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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