在经济动荡中提高证券市场的运作效率

Kirill V. Korotin
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引用次数: 0

摘要

本研究的目的是制定在经济动荡时期提高证券市场运行效率的战略。要实现这一目标,需要完成以下几项任务:分析与证券市场运行有关的统计数据,确定统计数据中的相互关系和影响,找出与市场运作和监管直接相关的现存问题,并制定应对这些挑战的解决方案。本文在研究可靠来源的统计数据(如俄罗斯银行和其他机构的数据)的框架内使用了分析和综合方法,并在研究的理论部分使用了历史方法。在确定统计数据与经济现象之间的相关性时,采用了包括演绎、归纳、类化和类比在内的逻辑认知方法。在提出建议时,采用了提出假设和进行预测等方法。当前的全球经济不稳定和俄罗斯经济面临的具体挑战,特别是与制裁有关的问题,凸显了这项工作的相关性。在不确定的条件下,与证券市场相关的问题变得更加重要,并在更广泛的经济挑战背景下被放大,因此有必要采取细致入微的方法。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Improving the Efficiency of Securities Market Operations amid Economic Turbulence
The aim of this study is to delineate strategies for enhancing the operational efficiency of the securities market during periods of economic turbulence. The goal was achieved by solving several tasks: analyzing statistical data pertaining to securities market operations, identifying interrelationships and implications within the statisti-cal data, pinpointing extant issues directly linked to market functioning and regulation, and devising solutions to address these challenges. The paper uses methods of analysis and synthesis in the framework of studying statistical data from reliable sources, such as data from the Bank of Russia and others, as well as a historical method for the theoretical part of the study. Logical methods of cognition including deduction, induction, gener-alization, and analogy are employed to ascertain correlations between statistical data and economic phenom-ena. In formulating recommendations, methods such as hypothesis formulation and forecasting are utilized. The relevance of the work is underscored by the prevailing global economic instability and specific challenges facing the Russian economy, notably sanctions-related issues. In conditions of uncertainty, problems pertinent to the securities market assume heightened significance, magnified against the backdrop of broader economic challenges, necessitating a meticulous and nuanced approach.
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