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Methodological background of the portfolio interval theory
( Lisitsina M.I. )
Risks of investing the funds from mandatory pension savings and their management methods
( Borisenko N. Yu. )
Integration of science and education as one of directions of innovation development of the financial and banking sphere
( Gluschenko V.V. / Gluschenko I.I. )
State regulation of the Russian insurance market in the conditions of the global financial crisis
( Izabakarov I.G. / Makhdiyeva Yu.M. )
Development of the control and counting operations in regions
( Vasilyeva M.V. )
Investment attractiveness assessment of the South Federal District regions
( Batischeva G.A. )
Factors influencing the dynamics of metallurgic companies’ capitalization at individual stages of the Russian economy development
( Lakhno Yu.V. )
On improvement of approaches to assessing the public development results with regard to population differentiation based on their income
( Grekov I.E. )
The system of material compensation of banks’ supervisors: international practive
( Kostyuk A.N. / Fironova V.M. )
The topic of finances in the works and correspondence of N.V. Gogol
( Anikeeva A.A. )