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Finance and Credit
 

Recommendations"group-20" to reduce of risk factorsin global financial markets

Vol. 20, Iss. 12, MARCH 2014

Available online: 16 March 2014

Subject Heading: INTERNATIONAL FINANCE

JEL Classification: 

Pages: 52-64

Shirshova M.A. Service of Bank of Russia on financial markets, Moscow, Russian Federation
mayya.shirshova@yandex.ru

The article presents cystematization of factors of risks in the world financial market which became the reason of the crisis phenomena in world economy. The author analyzes Group-20 decisions for elimination of consequences of risk factors and creation of uniform effective system of the international regulation, control and supervision of activity in the world financial market for ensuring steady and balanced growth in the world economy.

Keywords: factors of risks, world financial market, system approach, financial globalization, liberalization of the financial markets, Group-20 recommendations, international system of regulation, control and supervision in the world financial market

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