Financial Markets and Financial Institutes in 2010

Russian Economy in 2010. Trends and Outlooks. Issue 32. Moscow 2011. Gaidar Institute for Economic Policy

72 Pages Posted: 5 Mar 2013

Date Written: March 27, 2010

Abstract

This paper deals with Russian financial markets and financial institutions in 2010. The author focuses on the Russian stock market, bond market. The author analyzes key risks in financial markets, ruble devaluation risks and repo transactions risks.

Keywords: financial markets, financial institutions, devaluation, Russian ruble, repo transactions, institutional investors

JEL Classification: G01, G12, G18, G21, G24, G28, G32, G33

Suggested Citation

Abramov, Alexander E., Financial Markets and Financial Institutes in 2010 (March 27, 2010). Russian Economy in 2010. Trends and Outlooks. Issue 32. Moscow 2011. Gaidar Institute for Economic Policy. Available at SSRN: https://ssrn.com/abstract=2228495 or http://dx.doi.org/10.2139/ssrn.2228495

Alexander E. Abramov (Contact Author)

Gaidar Institute for Economic Policy ( email )

3-5 Gazetny Lane
Moscow, 125009
Russia

Register to save articles to
your library

Register

Paper statistics

Downloads
26
Abstract Views
473
PlumX Metrics