Preview

Siberian Financial School

Advanced search

Accounting infrastructure risks – new investment risks of 2022

https://doi.org/10.34020/1993-4386-2023-1-26-34

Abstract

 The article deals with topical issues of a new type of risks that were realized on a large scale in 2022 for Russian investors who owned foreign securities. The author, investigating the problems of investors, analyzes the possible solutions offered by Western depository structures, evaluates the positive and negative consequences of a possible partial unblocking of assets for the liquidity level of the national stock market. 

About the Author

Zhanna N. Tropina
Financial University under the Government of the Russian Federation
Russian Federation

Zhanna N. Tropina – Candidate of Economic Sciences, Associate Professor of the Department of Financial Markets and Financial Engineering

Moscow 



References

1. Garnov A. P., Afanas'ev E. V., Tishkina N. P. Risks of the Russian stock market under sanctions and ways to overcome them, Vestnik Rossiiskogo ekonomicheskogo universiteta imeni G.V. Plekhanova, 2022, Vol. 19, No. 5 (125), pp. 5-11. DOI: 10.21686/2413-2829-2022-5-5-11. (In Russ.)

2. Semenkova E. V., Tomashenko A. A. Risks of the financial market and problems of the financial industry, Finansovye strategii i modeli ekonomicheskogo rosta Rossii: problemy i resheniya, [Financial strategies and models of economic growth in Russia: problems and solutions], Collection of articles, Moscow: Izdatel'stvo “Auditor”, 2017, pp. 380-386. (In Russ.)

3. Tsukanov A. V., Annenskaya N. E. Assessment of the exposure of Russian financial and non-financial sector companies to interest rate risk, Finansovye rynki i banki, 2020, No. 4. pp. 42-45. (In Russ.)

4. Tropina Zh. N. Changing the system of corporate actions, E-Scio, 2018, No. 7 (22). pp. 1-5. (In Russ.)

5. Tropina Zh. N. Prospects for the development of retail investment in the bond market, Kontentus, 2018, No. 8 (73), pp. 1-6. (In Russ.)

6. Zhdanova O. A. Turnover of digital financial assets and their basic functions, Finansovaya zhizn', 2022, No. 3. pp. 86-89. (In Russ.)

7. Zhdanova O. A. Digital financial assets as instruments for financing the company's activities, Finansy, 2022, No. 8, pp. 52-57. (In Russ.)

8. Tropina Zh. N. Placement of funds on the Russian financial market by private investors, Vestnik IEAU, 2020, No. 28, pp. 6. URL: https://ieay.ru/wp-content/files/nd/vestnik/28/Tropina-01.pdf. (In Russ.)

9. Garnov A. P., Afanas'ev E. V. Problems of attracting individuals to the Russian stock market, Vestnik Rossiiskogo ekonomicheskogo universiteta imeni G.V. Plekhanova, 2023, Vol. 20, No. 1, pp. 101-108. DOI: 10.21686/2413-2829-2023-1-101-108. (In Russ.)

10. Tropina Zh. N. Protection of investors' rights in the bond market, Kontentus, 2018, No. 8 (73), pp. 41-47. (In Russ.)

11. Anashkina M. V. Methods of countering unfair practices in the Russian securities market, Ekonomika i upravlenie: teoriya i praktika, 2020, Vol. 6, No. 3, pp. 46-52. (In Russ.)

12. Zubov Ya. O. Analysis and evaluation of the effectiveness of strategies in the modern stock market of Russia, Vestnik RGGU. Seriya: Ekonomika. Upravlenie. Pravo, 2022, No. 3-2, pp. 200-215. DOI: 10.28995/2073-6304-2022-3-200-215. (In Russ.)

13. Rubtsov B. B. Arronet P. V. Short-term trading in shares of Russian companies with state participation: the impact of changes in the dividend policy, Bankovskie uslugi, 2022, No. 12, pp. 17–23. DOI: 10.36992/2075-1915_2022_12_17. (In Russ.)

14. Tropina Zh. N. Quantitative investments as a new method of asset management, Kontentus, 2017, No. 7 (60), pp. 51-56. (In Russ.)

15. Fedorova E. A. Musienko S. O. Afanas'ev D. O. The impact of the Russian stock market on economic growth, Finansy: teoriya i praktika, 2020, Vol. 24, No. 3. pp. 161–173. DOI: 10.26794/2587-5671-2020-24-3-161-173. (In Russ.)

16. Bryukhovetskaya S. V., Sardaryan Sh. G. The current state of the Russian financial market: current problems and development prospects, Diskussiya, 2016, No. 4 (67), pp. 14–18. (In Russ.)

17. Annenskaya N. E. The Russian financial market and prospects for structural financing, Bankovskie uslugi, 2022, No. 5, pp. 8–14. (In Russ.)


Review

For citations:


Tropina Zh.N. Accounting infrastructure risks – new investment risks of 2022. Siberian Financial School. 2023;(1):26-34. (In Russ.) https://doi.org/10.34020/1993-4386-2023-1-26-34

Views: 145


Creative Commons License
This work is licensed under a Creative Commons Attribution 4.0 License.


ISSN 1993-4386 (Print)