Main trends and problems of corporate bond market development in Russia

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The article examines the problems and main trends in the development of the corporate bond market in Russia. The main properties of corporate bonds were revealed. The dynamics of corporate bond yields over several years was investigated. Factors influencing corporate bond yields are considered. As a result of correlation and regression analysis, factors wnk, inflation, sanctions. Among the internal facere identified that have the maximum impact on the yield of corporate bonds. Among external factors - the refinancing rate of the Central Bators are financial stability, profitability and profitability of issuers. The main market trends were analyzed and current problems were identified. Among the trends, the growth of investment volumes and the growth of participants in the corporate bond market are irrefutable. Rising yields and profitability of corporate bonds. On the other hand, the problem of instability of the issuer's financial position arises due to a decrease in the requirements for bond issuers and admission to the market of companies without a mandatory credit rating. Problems associated with a decrease in the security of an investor who does not have sufficient information on each issuer admitted to the market have been identified. A forecast for the further development of the market and ways to eliminate the identified problems are proposed.

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Corporate bonds, regression analysis, refinancing rate, yield, market problems

Короткий адрес: https://sciup.org/170209710

IDR: 170209710   |   DOI: 10.24412/2411-0450-2025-3-159-166

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