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Financial market
- Evaluation of temporal effects stability in the Russian securities market. «Financial Analytics: Science and Experience», 4(238) - 2015 January
- Main approaches to classification of the organized securities markets. «Financial Analytics: Science and Experience», 3(237) - 2015 January
- Identification and use of key indicators to predict trends in the market of gold. «Financial Analytics: Science and Experience», 3(237) - 2015 January
- Stock market finance and industry's growth: preliminary data from selected industries of Russia. «Financial Analytics: Science and Experience», 2(236) - 2015 January
- Assessing the Russian financial market efficiency by a non-parametric method. «Finance and Credit», 48(624) - 2014 December
- External debt sustainability of the Russian economy: the dual estimates. «Financial Analytics: Science and Experience», 47(233) - 2014 December
- Specific features of the Russian market of mutual funds. «Financial Analytics: Science and Experience», 41(227) - 2014 November
- Features of functioning of the mega-regulator in the current economic conditions. «Financial Analytics: Science and Experience», 41(227) - 2014 November
- Methods and results of the Russian stock market forecasting. «Financial Analytics: Science and Experience», 39(225) - 2014 October
- Assessment of mergers and acquisitions in the energy sector of the Russian Federation on the based on the cumulative excess returns. «Financial Analytics: Science and Experience», 34(220) - 2014 September
- Assessment of external and internal factors affecting the effectiveness of activities of pension management companies. «Financial Analytics: Science and Experience», 33(219) - 2014 September
- Evaluating the effectiveness of arbitration pricing of Moscow Stock Exchange and London Stock Exchange. «Financial Analytics: Science and Experience», 31(217) - 2014 August
- Financial contradiction of a leasing: causes and ways of solution. «Financial Analytics: Science and Experience», 28(214) - 2014 July
- Research of model characteristics of arithmetic and geometrical Brownian movement when forecasting financial assets prices. «Finance and Credit», 26(602) - 2014 July
- Post-crisis state of financial institutions of the Russian Federation. «Finance and Credit», 23(599) - 2014 June
- Dialectics of concepts "financial investment" and "speculation" in the financial market. «Finance and Credit», 23(599) - 2014 June
- Current status and future prospects of the credit default swap market development under the Russian conditions. «Financial Analytics: Science and Experience», 19(205) - 2014 May
- Global OTC derivatives market: reforms and current state. «Financial Analytics: Science and Experience», 18(204) - 2014 May
- Institutional regulation of the financial markets in Russia. «Financial Analytics: Science and Experience», 16(202) - 2014 April
- Modern trends of development of interbank payment systems. «Finance and Credit», 10(586) - 2014 March
- Megaregulation of the financial market. «Finance and Credit», 10(586) - 2014 March
- New view on the nature of the financial markets: preamble of innovative approach. «Finance and Credit», 10(586) - 2014 March
- Functions and models of regulatory infrastructure of financial intermediaries: international experience and Russian reality. «Finance and Credit», 8(584) - 2014 February
- Finance of higher educational institutions in new conditions: results of reform and development direction. «Finance and Credit», 8(584) - 2014 February
- Modern global processes in the world financial market. «Financial Analytics: Science and Experience», 6(192) - 2014 February
- Money as operating element of system of prices and financial and economic relations. «Finance and Credit», 44(572) - 2013 November
- Globalization transformation of financial economy: realities and prospects. «Finance and Credit», 44(572) - 2013 November
- New financial instruments in Russia: grain futures - problems and development prospects. «Finance and Credit», 40(568) - 2013 October
- Modeling of Taylor rule for monetary policy in Russia: empirical analysis. «Finance and Credit», 37(565) - 2013 October
- The state of main Russian stock markets structure in integration process. «Financial Analytics: Science and Experience», 36(174) - 2013 September
- Features assess the potential of credit market: regional perspective. «Finance and Credit», 35(563) - 2013 September
- Forecasting crisis periods of the countries of BRIC. «Finance and Credit», 29(557) - 2013 August
- Mobile payment systems: way to market equilibrium and welfare or to imbalance and crisis?. «Financial Analytics: Science and Experience», 28(166) - 2013 July
- Hierarchical structure, based on principle of financial pyramids (on example of "Aimania"). «Financial Analytics: Science and Experience», 25(163) - 2013 July
- State loans as alternative source of financial resources of the regions in Russian Federation: need and opportunity for use in modern conditions. «Financial Analytics: Science and Experience», 17(155) - 2013 May
- Monetary and credit policy as deterrent to growth of speculative component of financial market of the Russian Federation. «Finance and Credit», 17(545) - 2013 May
- To question on creation in Russia mega regulator of financial market. «Finance and Credit», 17(545) - 2013 May
- Financial resources of the commercial organization: Syariah view. «Finance and Credit», 8(536) - 2013 February
- Formation of financial and information capital as result of information and financial services markets integration. «Finance and Credit», 8(536) - 2013 February
- Comparative correlation analysis of gold and some other assets as alternative objects of investment in conditions of crisis. «Financial Analytics: Science and Experience», 4(142) - 2013 January
- Empirical analysis of the Russian ruble exchange rate dynamics. «Financial Analytics: Science and Experience», 3(141) - 2013 January
- Credit cooperatives on microfinance services market: regional dimension. «Financial Analytics: Science and Experience», 1(139) - 2013 January
- Theoretical basis of asset securitization. «Finance and Credit», 48(528) - 2012 December
- Integration of the financial market of Russia into the world financial system: problems, analysis, conditions and trends. «Finance and Credit», 44(524) - 2012 November
- Features and tendencies of development of national financial market. «Financial Analytics: Science and Experience», 42(132) - 2012 November
- Review of international swap market (world market OTC derivatives, interest rate and currency swaps, credit default swaps). «Finance and Credit», 41(521) - 2012 November
- Evaluation of oil and gas industry integration into the world economy with conditional of ICAPM. «Finance and Credit», 40(520) - 2012 October
- Trends of the Russian financial market. «Finance and Credit», 37(517) - 2012 October
- Types of operations swap and technology of realization. «Finance and Credit», 37(517) - 2012 October
- Global commodity markets, global money and capital flows - the main tendencies and perspectives). «Finance and Credit», 33(513) - 2012 September
- Financial bubbles and financial crises. «Financial Analytics: Science and Experience», 32(122) - 2012 August
- Infrastructure of the financial market in Russia: ways of improvement and development trends. «Finance and Credit», 28(508) - 2012 July
- The prospects of expanding the activity of individual investors on the fund market of Russia in the context of formation of international financial center. «Finance and Credit», 12(492) - 2012 March
- Capital flight from Russia: threat or reality. «Finance and Credit», 12(492) - 2012 March
- Financial arbitrage: LSE. «Finance and Credit», 45(477) - 2011 December
- The impact of development of financial market on economic growth. «Finance and Credit», 45(477) - 2011 December
- Modeling of development of megapolis local financial market based Lorenz attractor. «Finance and Credit», 41(473) - 2011 November
- Resonance phenomena in financial markets. «Finance and Credit», 41(473) - 2011 November
- Traditional approaches and institutional assessment of the effects of financial globalization for developing countries. «Finance and Credit», 40(472) - 2011 October
- The classification of financial derivatives. «Finance and Credit», 39(471) - 2011 October
- The methodology of system risks research in the context of evolution of modern appoaches. «Finance and Credit», 39(471) - 2011 October
- Development of standards of the transparency of activity of financial institutions. «Financial Analytics: Science and Experience», 37(79) - 2011 October
- Development of market institutional investors in the share market of Russia during the postcrisis period. «Financial Analytics: Science and Experience», 10(52) - 2011 March
- The institutional mechanisms of the global coordination of the financial market regulation after crises. «Financial Analytics: Science and Experience», 10(52) - 2011 March
- Currency Wars: Menace and Realism. «Financial Analytics: Science and Experience», 8(50) - 2011 February
- Protection of the private investors rights in a system of financial market regulation. «Finance and Credit», 2(434) - 2011 January
- Key objectives of development of Russian financial market in global economy. «Finance and Credit», 29(413) - 2010 August
- Analysis of Russian Financial Market Efficiency. «Finance and Credit», 29(413) - 2010 August
- Problems of centralization of function regulation of subject’s activity of the financial market. «Finance and Credit», 28(412) - 2010 July
- «Fundamental disintermediate turning - point»: a casual occurrence or an objective tendency?. «Financial Analytics: Science and Experience», 5(29) - 2010 May
- Concept, the content and the essence of the state financial policy. «Financial Analytics: Science and Experience», 5(29) - 2010 May
- Gold exchange value: paradoxes of historical regularities. «Financial Analytics: Science and Experience», 4(28) - 2010 April
- Financial market development directions. «Financial Analytics: Science and Experience», 4(28) - 2010 April
- Especially the movement of prices in the sphere of circulation. «Financial Analytics: Science and Experience», 11(23) - 2009 November
- Globalization of the financial market and inflation. «Finance and Credit», 5(341) – 2009 February
- Features of centralization of banking capital in Russia. «Financial Analytics: Science and Experience», 4(16) – 2009 April
- Mergers and acquisitions in the system of financial market. «Financial Analytics: Science and Experience», 4(16) – 2009 April
- Does financial world need deregulation?. «Financial Analytics: Science and Experience», 1(13) - 2009 January
- Crisis and regulation of financial system: lessons and perspectives. «Financial Analytics: Science and Experience», 1(13) - 2009 January
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