Effect of the crisis 2014-2015. on the Russian stock market and measures for its prevention
Автор: Ilyushenkova E.O.
Журнал: Форум молодых ученых @forum-nauka
Статья в выпуске: 5-1 (21), 2018 года.
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The article is devoted to the study of the state of the Russian stock market in the period of the crisis of 2014-2015. The urgency of the topic is determined by the present crisis situation in Russia, which is caused by the dependence of the Russian economy on the price of oil, the world economy and politics as a whole. Considered some economic indicators, such as the MICEX index, the ruble exchange rate and the general characteristics of the Russian securities market for 2014-2015. Measures to improve the stock market, which will ensure its stability, are also considered.
Securities market, crisis, ruble, stocks, index, micex, rts
Короткий адрес: https://sciup.org/140282382
IDR: 140282382