The analysis of market debt investment instruments of the Russian Federation during the instability of the global economy

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This article analyzes the actions of the State and participants of the debt market during the financial crisis of 2008. The paper analyzes the State actions and gives some recommendations for the development of the local market debt financing to reduce the volatility of the RF finances.

Короткий адрес: https://sciup.org/148160999

IDR: 148160999

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