Regulation and global mechanisms of the Russian financial system modernization
Borsch L.M.1
1 Крымский федеральный университет имени В.И. Вернадского
Download PDF | Downloads: 14
Journal paper
Russian Journal of Entrepreneurship *
Volume 19, Number 12 (December 2018)
* Этот журнал не выпускается в Первом экономическом издательстве
Abstract:
The article is devoted to the study of the actual scientific and practical problem of modernizing the state financial system with the help of global mechanisms. To achieve this goal, the following problems are solved in the article: the main links and interdependencies, regularities in the process of modernization of the financial system based on the dialectical method are defined; approaches, methodology are formed; sources of resource formation are defined. This article is based on the interdisciplinary concept of a dialectical approach. The main methods used were: dialectical, historical, logical, statistical and synthesis method. An in-depth analysis and approaches based on principles have been developed, which allowed us to consider the important scientific direction of the modern financial system - modernization and progressive development, defining consolidating functions of state regulation and eliminating imbalance. The methodology of the dialectical approach was developed to cover the budget deficit by borrowing resource sources. This approach of macroeconomic orientation has allowed to form new opportunities for modern modifications in the monetary and financial system. The materials stated in the article indicate that under the current conditions of sanctions, a special importance is attached to the peculiarity of the approach to managing the coverage of the federal budget deficit, the management of the securities market in the long term.
Keywords: state regulation, budget, financial resources, financial system, dialectical approach
JEL-classification: G18, H61, G28
References:
Aganbegyan A.G., Ershov M.V. (2013). O svyazi denezhno-kreditnoy i promyshlennoy politiki v deyatelnosti bankovskoy sistemy Rossii [About communication of monetary and industrial policy in activity of banking system of Russia]. Money and Credit. (6). 3-11. (in Russian).
Borsch L.M. (2016). Razvitie finansovoy sistemy Rossiyskoy Federatsii v usloviyakh integratsii ekonomiki [Development of the financial system of the Russian Federation in the context of economic integration]. Scientific Herald: finance, banks, investments. (1(34)). 5-11. (in Russian).
Burkaltseva D., Vorobyov Yu., Borsh L., Gerasimova S., Chepurko V. (2016). Structural modelling the system of ensuring the economic security of the complex territorial socio-economic system of the EurAsEC International Journal of Applied Business and Economic Research. 14 (9).
Dudin M.N., Evdokimova S.Sh., Lyasnikov N.V. (2014). Ustoychivoe sotsialno-ekonomicheskoe razvitie kak osnova geopoliticheskoy stabilnosti natsionalnoy ekonomiki [Sustainable social and economic development as basis of geopolitical stability]. MIR (Modernization. Innovation. Research). (19). 80-84. (in Russian).
Ershov M.V. (2018). 2018: vosstanovlenie ekonomiki v mire i v RF - vserez i nadolgo? [2018: Economic Recovery in the World and the Russian Federation - For the Long Haul?]. The Manager. 9 (2). 6-11. (in Russian). doi: 10.29141/2218-5003-2018-9-2-2.
Genkin A.S., Sidorenko E.L., Semykina O.I. (2016). Elektronnaya valyuta v svete sovremennyh pravovyh i ekonomicheskikh vyzovov [Electronic currency in the light of modern legal and economic challenges] Electronic currency in the light of modern legal and economic challenges. (in Russian).
Glazev S.Yu. (2015). O targetirovanii inflyatsii [On inflation targeting]. Voprosy Ekonomiki. (9). 124-135. (in Russian).
Ilyukhin A.A., Ponomareva S.I. (2017). Byudzhetnaya politika regiona v poiskakh makroekonomicheskoy ustoychivosti [Fiscal policy of the region in search of macroeconomic stability] Symposium on regional Economics. 47-50. (in Russian).
Lavrov V.N., Ponomareva S.I. (2018). Denezhno-kreditnaya politika v kontekste teoreticheskikh i metodologicheskikh problem ekonomicheskoy nauki [Monetary Policy in the Context of Theoretical and Methodological Problems of Economic Science]. Journal of the Ural State University of Economics. 19 (1). 5-15. (in Russian).
Ponomareva S.I. (2013). Politicheskiy analiz finansovoy prirody kapitalizma nachala XXI veka [Political analysis of capitalism financial nature in the early 21st century]. Journal of the Ural State University of Economics. (3-4). (in Russian).
Rajan R., Zingales L. (2003). The great reversals:the politics of financial development in the 20th centry Journal of Financian Ecjnjmics, Elsevier. 69 (1).
Stiglitz J. (1997). Monopoly, Not-Linear Pricing, and Imperefect Information: The Insurance Market Review of Economic Studies. 44 (3).
Vaganov V.D. (2012). Sravnitelnaya kharakteristika finansovyh sistem sovremennoy Rossii i drugikh razvityh gosudarstv so skhozhey sistemoy upravleniya [Comparative characteristics of the financial systems of modern Russia and other developed countries with a similar management system] M.: Laboratoriya Knigi. (in Russian).
Vorobev Yu.N. (2017). Formirovanie finansovyh resursov aktsionernymi obschestvami [Formation of financial resources by joint-stock companies] Simferopol: «Antikva». (in Russian).
Vorobeva E I. (2016). Povyshenie roli gosudarstvennyh finansov v finansovoy sisteme Rossiyskoy Federatsii [Enhancing the role of public Finance in the financial system of the Russian Federation]. Scientific Herald: finance, banks, investments. (1(34)). 21-26. (in Russian).
Yasin E. i dr. (2011). Sotsialnye itogi transformatsii, ili dvadtsat let spustya [Social outcomes of transformation, or twenty years later]. Voprosy Ekonomiki. (8). 77-96. (in Russian).
Основные направления государственной долговой политики Российской Федерации на 2017-2019 ггMinfin.ru. (in Russian). Retrieved from http://www.minfin.ru/ru/perfomance/public_debt/policy
Страница обновлена: 01.04.2025 в 21:07:00