俄罗斯金融市场稳定因素的认知模型

N.L. Badvan, O. Gasanov, A. Kuz'minov
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引用次数: 2

摘要

主题。文章强调了金融市场的稳定性。它是保证经济增长的最重要组成部分之一。本文旨在绘制一幅俄罗斯金融市场的认知图。并对其细分市场的变化进行建模,找出国家金融市场的主要稳定因素。研究涉及认知分析方法和认知建模方法。金融市场各环节的累积效应形成了金融市场的稳定性。俄罗斯金融市场对货币市场、企业和政府借贷市场的变化最为敏感。市场流动性与其稳定性之间存在着显著的关系。有必要在卢布资产中形成自由资源存储。尽管受到制裁限制,但国内市场对国际金融市场的依赖仍然存在。结论和相关性。实现金融稳定需要不断关注市场流动性和国家货币的可预测性。国家金融政策的优先方向是建立世界金融市场主要参与者和国际金融机构之间的关系。专家们可以将这项工作的结果应用于金融和货币政策的制定。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Cognitive modeling of factors of financial market stability of Russia
Subject. The paper highlights the financial market stability. It is one of the most important components of economic growth ensuring. Objectives. The article is to draw up a cognitive map of the Russian financial market. It also aims at modeling changes in its segments and finding the main stability factors of the national financial market. Methods. The research involves methods of cognitive analysis and cognitive modeling. Results. Cumulative effect of all segments of the financial market forms its stability. The Russian financial market is most sensitive to changes in the monetary and currency markets, corporate and government borrowing market. There is a significant relationship between the market liquidity and its stability. It is necessary to form free resources storage in ruble assets. The dependence of the domestic market on international financial markets remains despite sanctions restrictions. Conclusions and Relevance. Achieving financial stability requires constant attention to liquidity in the market and predictability of the national currency. The priority direction of the state financial policy is establishment of relations between the leading players in the world financial markets and international financial institutions. Experts can apply the results of this work in the financial and monetary policy formation.
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