Influence of Regional Investment Climates on the Development of the Bond Market

N. Anokhin, V. Karavaev, S. Kolbin, N.G. Protas
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Abstract

ABSTRACT This article reviews methodological approaches for a quantitative assessment of the influence of investment climates on regional bond markets. In turn, this assessment looks at how elements affecting the quality of investment climates influence the realization of regional bond markets and their potential for growth in the federal okrugs of the Russian Federation (RF). This article also describes a mathematical model of bond markets, which includes parameters depicting the investment climate’s effect on regional investment potential. With this, it presents quantitative analyses of the parameters affecting the investment climate. These analyses were obtained based on the regional ratings of the leading Russian analytical expert agencies. In addition, the article provides an assessment that uses this model to show the dynamics of the bond market in a regional context. Finally, it makes conclusions about the RF bond market’s potential for growth and the measures required for this growth.
区域投资环境对债券市场发展的影响
摘要本文综述了定量评估投资环境对区域债券市场影响的方法。反过来,这项评估着眼于影响投资环境质量的因素如何影响区域债券市场的实现及其在俄罗斯联邦(RF)联邦市场的增长潜力。本文还描述了债券市场的数学模型,其中包括描述投资环境对区域投资潜力影响的参数。据此,对影响投资环境的参数进行了定量分析。这些分析是根据俄罗斯主要分析专家机构的地区评级得出的。此外,文章还提供了一个评估,使用该模型来显示区域背景下债券市场的动态。最后,对RF债券市场的增长潜力以及增长所需的措施进行了总结。
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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