Russian Financial Market in 2008-2009: Trends, Crisis Mitigation Measures, Institutional Issues

Russian Economy in 2009. Trends and Outlooks. Issue 31. Vol. 1. Moscow 2010

71 Pages Posted: 16 Apr 2013

See all articles by Alexander E. Abramov

Alexander E. Abramov

Russian Presidential Academy of National Economy and Public Administration, Institute of Applied Economic Research

Date Written: March 27, 2010

Abstract

This paper deals with the Russian financial markets and financial institutions. The author focuses on post crisis recovery, Russian equity market. The issue of capital outflow and operating risks of the stock market were analyzed by the author.

Keywords: financial markets, financial institutions, equity market, banking system, liquidity, ruble-denominated bonds, capital flight

JEL Classification: G12, G18, G21, G24, G28, G32, G33

Suggested Citation

Abramov, Alexander E., Russian Financial Market in 2008-2009: Trends, Crisis Mitigation Measures, Institutional Issues (March 27, 2010). Russian Economy in 2009. Trends and Outlooks. Issue 31. Vol. 1. Moscow 2010, Available at SSRN: https://ssrn.com/abstract=2250704

Alexander E. Abramov (Contact Author)

Russian Presidential Academy of National Economy and Public Administration, Institute of Applied Economic Research ( email )

82/9 Vernadsky ave.
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Moscow,, 119571
Russia
+79854105752 (Phone)

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