A testing for financial sustainability of the Russian State pension system in a long term
Objectives of the pension system. Individual objectives. Public policy objectives. Pillars of the pension system. Defined benefit, defined contribution, notional defined contribution. non-actuarial fairness. Market failure. Impact of the pension system.
Key features and analysis of the activities of private enterprise "UBA". Application of methodological approaches to the assessment of the company. A comprehensive description of the financial situation of the company, recommendations for its improvement.
статья, добавлен 27.03.2016
Functioning of the Russian financial market and mutual funds. Рarameters that can give information about funds management. Тhe role of skill in Russian equity funds management during the last years. Distribution of number of observations for funds.
дипломная работа, добавлен 23.07.2016
Financial market and its structure. Composition of Financial market. Participants and issuers in KR securities market. Financial Instruments. Classification of Securities. Professional participants. Trade on Stock Exchange. Analyze of Financial Market.
презентация, добавлен 28.05.2014
The problem with estimating the long range dependence. Motivation for long memory. Long memory VS structural breaks. Markov switching model. Generating the same statistical properties as the long memory model during processing with structural breaks.
статья, добавлен 26.01.2017
The review of banking sector of the United Kingdom (AAA/Stable/A-1+ unsolicited ratings) under updated Banking Industry Country Risk Assessment (BICRA) methodology. Peer BICRA scores. Analysis of government support of banking system in United Kingdom.
реферат, добавлен 19.11.2012
The value for money in today's society, the need for them. The social custom of using money for transactions. Long-run effects of changes in the quantity of money, three functions in the economy: medium of exchange, a unit of account, store of value.
топик, добавлен 23.05.2015
The principles of the functioning of financial markets in the context of globalization. Trends in capital flows in the world today. Risk evaluation in the banking sector of Ukraine. Impact of financial crisis on the living standards of the population.
статья, добавлен 25.03.2016
Role, importance and place of volatility in risk management. Features and characteristics of volatility risk management using financial instruments, the prices of which depend on the volatility of the financial asset. Building a risk management system.
дипломная работа, добавлен 09.08.2018
Positive and negative trends in financial and credit support of agricultural production. The basic solutions to these problems. The stimulate long-term loans, to encourage financial decentralization in rural areas and to increase the flow of investmen.
статья, добавлен 28.07.2017
An study on the ambiguities and the risk on the Russian stock market. Portfolio theory, linear relationship between risk and return and the known probabilities of outcomes. The relationship between risk and return of uncertainty intraday observations.
контрольная работа, добавлен 26.08.2016
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