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ANALYSIS OF FINANCIAL CAPITAL
- Analysis of Russia's financial stability. «Economic Analysis: Theory and Practice», 11(566) - 2025 November
- The impact of news about sanctions on the Russian stock market index dynamics. «Economic Analysis: Theory and Practice», 11(566) - 2025 November
- Analyzing the impact of monetary policy on the debt burden in the Russian economy. «Economic Analysis: Theory and Practice», 9(564) - 2025 September
- Analyzing the impact of geopolitical crises related to the events in Ukraine from 2014 to 2023 on the Russian stock market. «Economic Analysis: Theory and Practice», 9(564) - 2025 September
- The limit of money multiplication in modern Russia. «Economic Analysis: Theory and Practice», 5(560) - 2025 May
- A brief analysis of monetary transmission in modern Russia. «Economic Analysis: Theory and Practice», 3(558) - 2025 March
- Reasons for interest rate rise in the Russian economy. «Economic Analysis: Theory and Practice», 2(557) - 2025 February
- The impact of the global gas crisis on the Russian stock market destabilization from the perspective of the concept of financial contagion. «Economic Analysis: Theory and Practice», 2(557) - 2025 February
- Analyzing the impact of the key rate on the Russian economy. «Economic Analysis: Theory and Practice», 11(554) - 2024 November
- The true position of the Russian financial market. «Economic Analysis: Theory and Practice», 10(553) - 2024 October
- Potential of Russian finance. «Economic Analysis: Theory and Practice», 8(551) - 2024 August
- Analysis of Russia's financial potential under the pressure of sanctions. «Economic Analysis: Theory and Practice», 7(550) - 2024 July
- Key indicators of economic risks of a commercial bank. «Economic Analysis: Theory and Practice», 7(550) - 2024 July
- Financial contagion of the tourism services market from the energy market during the COVID-19 pandemic. «Economic Analysis: Theory and Practice», 5(548) - 2024 May
- Analyzing the impact of sources of financing of organization's activities on ensuring its economic security. «Economic Analysis: Theory and Practice», 5(548) - 2024 May
- Financial contagion of the Thai hospitality industry during the global energy crisis. «Economic Analysis: Theory and Practice», 3(546) - 2024 March
- Balance in the movement of Russian finance. «Economic Analysis: Theory and Practice», 1(544) - 2024 January
- Statistical analysis of stable fundamental anomalies in stock pricing on the Russian market. «Economic Analysis: Theory and Practice», 1(544) - 2024 January
- Developing the methodology of early diagnosis of financial crises using a system of signaling economic indicators. «Economic Analysis: Theory and Practice», 10(541) - 2023 October
- Empirical research of Russian enterprises' debt burden. «Economic Analysis: Theory and Practice», 9(528) - 2022 September
- Developing the theory of formation of enterprise’s efficient portfolio of financial resources on the basis of clustering the elements of its structure. «Digest Finance», 2(262) - 2022 April-June
- Analysis of the evolution and contradictions of hedge funds, their impact on stock markets. «Economic Analysis: Theory and Practice», 5(524) - 2022 May
- Competition of the world leading currencies: Features of the current stage. «Economic Analysis: Theory and Practice», 11(518) - 2021 November
- Illiquidity risk and equity trading performance: A statistical analysis. «Economic Analysis: Theory and Practice», 9(516) - 2021 September
- Specifics of capital structure management of electronic commerce market leaders. «Economic Analysis: Theory and Practice», 5(500) - 2020 May
- Analyzing the figures of consolidated income statements of the world's biggest public oil and gas corporations. «Economic Analysis: Theory and Practice», 5(500) - 2020 May
- Macroeconomic factors affecting the movement of Russian stock market indices. «Economic Analysis: Theory and Practice», 12(495) - 2019 December
- Dynamic correlations between the stock market indices of developed countries and the Russian stock market index. «Economic Analysis: Theory and Practice», 11(494) - 2019 November
- Assessing the financial instability of economic systems: A variety of methods and models. «Economic Analysis: Theory and Practice», 7(490) - 2019 July
- Principal risks inherent in building the resource base of project finance in bank risk management. «Economic Analysis: Theory and Practice», 1(484) - 2019 January
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