Financial stability ratios of the world's leading publicly traded oil and gas corporations as an indicator of the investment attractiveness of domestic vertically integrated oil and gas companies
A risk-oriented model to assess the probability of bankruptcy of strategic alliance member companies
Banking
Institutional inequality by level of access to funding through REPO transactions: Evidence from Russian banks
INNOVATION AND INVESTMENT
Analyzing innovation processes in the Russian insurance market
SECURITIES AND FINANCIAL MARKETS
Predicting the yield spread of corporate bonds in BRICS countries using artificial neural networks
Financial control
On accounting documents as objects of forensic accounting expert examination
2(266) - 2023 April-June
RISK, ANALYSIS AND EVALUATION
Multipliers based on net income as an indicator of the investment attractiveness of domestic vertically integrated oil and gas companies
Principal risks inherent in building the resource base of project finance in bank risk management
Insurance
Insurance industry in the scope of sustainable development
SECURITIES AND FINANCIAL MARKETS
The effects of monetary policy on the Russian financial market behavior
Banking
Factors to generate the demand for mortgage products of bank on the retail landing market and their evaluation
Improving the bank lending mechanism for the agro-industrial complex
3(267) - 2023 July-September
RISK, ANALYSIS AND EVALUATION
The foreign practice of large merger & acquisitions transactions in the stock market sector of the oil and gas industry
MONETARY SYSTEM AND CURRENCY CIRCULATION
An economic expert analysis of funds in the context of digitalization: Some considerations
SECURITIES AND FINANCIAL MARKETS
Using a foreign exchange market asset as a benchmark to assess investment risks in the stock market
INNOVATION AND INVESTMENT
Factors influencing decision-making on the implementation of BIM technologies in project management in construction
Banking
Analyzing the accuracy of bank reliability assessment based on official reporting
Insurance
Cluster analysis in the control over the activity of insurance companies
THEORY OF FINANCE
Financial flows of digital intelligent transition
4(268) - 2023 October-December
RISK, ANALYSIS AND EVALUATION
Multipliers based on EBITDA and DACF as an indicator of the investment attractiveness of domestic vertically integrated oil and gas companies
The concept of development of non-financial reporting by Belarusian business entities using graph theory
Higher education in Russia: Facts and figures
SECURITIES AND FINANCIAL MARKETS
Methods of diagnosing irrational behavior of retail investors in the financial market
Financial control
Financial and economic expert analysis when examining objective business bankruptcy: Bringing persons to subsidiary liability
THEORY OF FINANCE
Behavioral valuation in the Russian and Western stock markets