Anti-crisis measures of the government of the Russian Federation in 2008

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The crisis of 2008 quite seriously affected the stability of not only the financial system of the United States, but also reached the Russian Federation. The article examines the problems of the mortgage crisis and the measures taken by the state authorities to mitigate its consequences not only in the short term, but also in the long term, which ultimately increased the level of the country's GDP and contributed to maintaining the stability of the Russian economy.

Government of the russian federation, bonds, bank, mortgage crisis, taxes

Короткий адрес: https://sciup.org/170196851

IDR: 170196851   |   DOI: 10.24412/2500-1000-2022-11-4-269-274

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