The impact of the state debt of the Russian Federation on macroeconomic stability and financial stability of the country

Khanova L.M.1,2, Shatrov K.D.1,3
1 Финансовый университет при Правительстве Российской Федерации
2 Национальный исследовательский университет «Высшая школа экономики», Russia
3 ООО "Нэо-консалтинг"

Journal paper

Journal of International Economic Affairs (РИНЦ, ВАК)
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Volume 10, Number 1 (January-March 2020)

Citation:

Indexed in Russian Science Citation Index: https://elibrary.ru/item.asp?id=42725708
Cited: 6 by 07.12.2023

Abstract:
The article deals with current issues of the debt policy of the Russian Federation. The analysis of important macroeconomic and statistical indicators of public debt is given. Based on the study, conclusions about the reasons for the formation of public debt, its impact on the country's macroeconomic and financial stability are made. Thus, the outflow of funds from non-residents will negatively affect the ruble exchange rate, which will negatively affect the financial stability of the Russian economy.

Keywords: government debt, debt policy, macroeconomic stability, government securities, residents

JEL-classification: H63, E63, E69

References:

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