GLOBAL IMBALANCES, RISKS AND ECONOMIC SECURITY OF RUSSIA
Abstract
This paper proposes an approach to the study of the impact of global imbalances and external economic risks for the Russian economy and its level of economic security. This paper proposes an approach to the study of the influence of global imbalances and external economic risks for the economy of Russia and its level of economic security. The relevance of the study is that is not enough research to assess the impact of global imbalances and risks in terms of openness of Russian economy. The authors have perfected a method of quantitative assessment of global risks and proposed a method to estimate their impact on the Russian economy. Initial data are taken from a report on global risks for the World Economic Forum in 2014. The results characterize the role of global imbalances and the degree of influence of global risks on the Russian economy and its level of economic security.
About the Authors
V. K. SenchagovRussian Federation
ScD (Economics), full professor, academician of the Russian Academy of Natural Sciences, Honored Economist of the Russian Federation, research supervisor of faculty of risk analysis and economic security
A. I. Soloviev
Russian Federation
candidate of Technical Sciences, associate professor, research associate
References
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Review
For citations:
Senchagov V.K., Soloviev A.I. GLOBAL IMBALANCES, RISKS AND ECONOMIC SECURITY OF RUSSIA. Finance: Theory and Practice. 2015;(6):19-29. (In Russ.)