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Problems of regulation of Russian stock market
( Karlov A.M. / Volvach E.A. )
Analysis of movement to information efficiency of stock market of Russia on basis of GARCH modeling and Kalman's filter
( Fedorov E.A. / Lukasiewicz I.Ya. / Merkulov O.M. )
Stress testing as method of improvement of market risk management
( Ushvitsky L.I. / Maleeva A.V. / Klimova O.A. )
Methods of maximizing profitability of portfolio of commercial bank
( Petrosyan N.E. )
Problems of formation of new organizational framework of development of financial architecture of world economy
( Loginov E.L. / Loginova V.E. )
Problem of sovereign debts in world economy
( Fedosov V.A. / Moldovanof A.A. )
Mezzanine credit as alternative of project financing of investment projects
( Petrikova E.M. )
Trading volatility in options market as method of hedging risks in economic security of institutional investors
( Ivanov A.E. / Kurzanov A.V. )
Priority directions of increase of investment appeal of housing and communal services
( Kryukova E.M. / Karpatchev P.Yu. / Golina S.V. )
Technique of decision-making on possibility of application of outsourcing in holdings
( Bavrin A.A. / Kostritsa V.I. )
Credit and default swaps as shock-absorbers of financial crisis in Eurozone
( Popova U.U. )