Russia in the international stock markets: retrospective review

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The essay is dedicated to overview of Russian fundraisers (Government, subfederal authorities, business, banks) in international capital markets in a framework of geopolitical, sanction exposures. Author analyses the factors of Eurocurrency funds raising in a context of risk-cost tradeoff. The paper designates the ways and mechanisms offeasible situation improvements in a rank of cost-benefit analysis.

International money and capital markets, geopolitical and sanction exposures, eurocurrency (offshore) loans

Короткий адрес: https://sciup.org/148319050

IDR: 148319050

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