RuEn

Journal section "Public finances"

Determinants of the Russian Banking Sector Development as the Drivers of Economic Growth

Voronova N.S., Miroshnichenko O.S., Tarasova A.N.

4 (46), 2016

Voronova N.S., Miroshnichenko O.S., Tarasova A.N. Determinants of the Russian Banking Sector Development as the Drivers of Economic Growth. Economic and Social Changes: Facts, Trends, Forecast, 2016, no. 4 (46), pp. 165-183. DOI: 10.15838/esc.2016.4.46.9

DOI: 10.15838/esc.2016.4.46.9

Abstract   |   Authors   |   References
  1. Aganbegyan A.G. Razmyshleniya o finansovom forsazhe [Reflections on financial boost]. Den'gi i kredit [Money and Credit], 2015, no. 8, pp. 5-10. (In Russian).
  2. Valovoi vnutrennii produkt Rossiiskoi Federatsii v 2005–2015 gg. [Gross domestic product of the Russian Federation in 2005–2015]. Available at: https://www.fedstat.ru/indicator/33379.do. (In Russian).
  3. Voronova N.S., Miroshnichenko O.S. Podkhody k strukturirovaniyu ponyatiinogo apparata teorii bankovskogo kapitala [Approaches to the structuring of the conceptual apparatus of the theory of bank capital]. Finansy i kredit [Finances and Credit], 2013, no. 34, p. 9. (In Russian).
  4. Vystuplenie predsedatelya Banka Rossii E.S. Nabiullinoi na XXIV Mezhdunarodnom bankovskom kongresse 4 iyunya 2015 goda [Speech of Chairman of the Bank of Russia Elvira Nabiullina at the 14th International Banking Congress, June 04, 2015]. Available at: http://www.cbr.ru/Press/print.aspx?file=press_centre/Nabiullina_0 4062015.htm&pid=st&sid=ITM_10904. (In Russian).
  5. Ilyin V.A., Shabunova A.A. O nekotorykh tendentsiyakh v ekonomicheskom razvitii Rossii i regiona [About some trends in the economic development of Russia and region]. Sotsiologicheskie issledovaniya [Sociological Studies], 2015, no. 8, pp. 34-41. (In Russian).
  6. Mau V. Antikrizisnye mery ili strukturnye reformy: ekonomicheskaya politika Rossii v 2015 godu [Crisis response measures or structural reforms: Russia’s economic policy in 2015]. Voprosy ekonomiki [Issues of Economy], 2016, no. 2, pp. 5-33. (In Russian).
  7. O Kontseptsii dolgosrochnogo sotsial'no-ekonomicheskogo razvitiya Rossiiskoi Federatsii na period do 2020 goda: rasporyazhenie Pravitel'stva RF ot 17 noyabrya 2008 g. № 1662-r [On the Concept for long-term socio-economic development of the Russian Federation for the period till 2020: Resolution of the RF Government of 17 November 2008 No. 1662-R]. SPS “Konsul'tantPlyus”: Zakonodatel'stvo: Versiya Prof. [“Consultant plus” reference and search system: Legislation: Prof. Version]. Available at: http://base.consultant.ru. (In Russian).
  8. Obzor bankovskogo sektora Rossiiskoi Federatsii – 2005–2016 [Overview of the banking sector of the Russian Federation 2005–2016]. Tsentral'nyi bank Rossiiskoi Federatsii (Bank Rossii) [Central Bank of the Russian Federation (Bank of Russia)]. Available at: http://cbr.ru/analytics/?Prtid=bnksyst. (In Russian).
  9. Osnovnye napravleniya razvitiya finansovogo rynka Rossiiskoi Federatsii na period 2016–2018 godov [Major directions of development of the financial market of the Russian Federation for 2016–2018]. Available at: http://www.cbr.ru/finmarkets/files/development/onrfr_2016-18.pdf. (In Russian).
  10. Otchet o razvitii bankovskogo sektora i bankovskogo nadzora – 2005–2015 [Report on the development of the banking sector and banking supervision – 2005–2015]. Tsentral'nyi bank Rossiiskoi Federatsii (Bank Rossii) [Central Bank of the Russian Federation (Bank of Russia)]. Available at: http://www.cbr.ru/publ/archive/root_get_blob.aspx?doc_id=9883. (In Russian).
  11. Sukhov M.I. Sovremennaya bankovskaya sistema Rossii: nekotorye aktual'nye aspekty [Modern banking system of Russia: some topical aspects]. Den'gi i kredit [Money and Credit], 2016, no. 3, pp. 3-6. (In Russian).
  12. Albertazzi U., Gambacorta L. Bank profitability and the business cycle. Journal of Financial Stability, 2009, vol. 5, no. 4, December, pp. 393-409.
  13. Arnold B., Borio C., Ellis L., Moshirian F. Systemic risk, macroprudential policy frameworks, monitoring financial systems and the evolution of capital adequacy. Journal of Banking & Finance, 2012, no. 36, pp. 3125-3132.
  14. Camara B., Lepetit L., Tarazi A. Ex ante capital position, changes in the different components of regulatory capital and bank risk. Applied Economics Letters, 2013, vol. 45, no. 34, pp. 4831-4856.
  15. Demirguc-Kunt A., Detragiache E., Merrouche O. Bank capital: lessons from the financial crisis. Journal of Money, Credit and Banking, 2013, vol. 45, no. 6, pp. 1147-1164.
  16. Dietrich A., Wanzenried G. The determinants of commercial banking profitability in low-, middle-, and high-income countries. The Quarterly Review of Economics and Finance, 2014, vol. 54, no. 3, August, pp. 337-354.
  17. Djalilov K., Piesse J. Determinants of bank profitability in transition countries: What matters most? Research in International Business and Finance, 2016, vol. 38, September, pp. 69-82.
  18. Gander J.P. Integrating bank profit and risk-avoidance decisions for selected European countries: A micro–macro analysis. Economic Modelling, 2013, vol. 31, pp. 717–722.
  19. Goddard J., Liu N., Molyneux R., Wilson J.O.S. The persistence of bank profit. Journal of Banking & Finance, 2011, vol. 35, no. 11, November, pp. 2881-2890.
  20. Hippler W.J., Hassan M.K. The impact of macroeconomic and financial stress on the U.S. financial sector. Journal of Financial Stability, 2015, vol. 21, December, pp. 61-80.
  21. Ivanter V.V. et al. The new economic policy – the policy of economic growth. Studies on Russian Economic Development, 2013, vol. 24, no. 6, pp. 501-510.
  22. Klaas J., Vagisova V. Tools for assessing and forecasting stability of the commercial bank under conditions of instability. Investment Management and Financial Innovation, 2014, vol. 11, no. 4, pp. 157-163.
  23. Košak M., Li S., Lončarski I., Marinč M. Quality of bank capital and bank lending behavior during the global financial crisis. International Review of Financial Analysis, 2015, vol. 37, pp. 168-183.
  24. Lee C.-C., Hsieh M.-F. The impact of bank capital on profitability and risk in Asian banking. Journal of International Money and Finance, 2013, vol. 32, February, pp. 251-281.
  25. Mazikova E.V., Yumanova N.N. Investment of banks in securities: the essence and development trends under current conditions. Economic and Social Changes: Facts, Trends, Forecast, 2015, no. 6 (42), pp. 185-202.
  26. Shim J. Bank capital buffer and portfolio risk: The influence of business cycle and revenue diversification. Journal of Banking & Finance, 2013, vol. 37, pp. 761–772.
  27. Williams B. Domestic and international determinants of bank profits: Foreign banks in Australia. Journal of Banking & Finance, 2003, vol. 27, no. 6, June, pp. 1185-1210.

Article views

all: , this year: , this month: , today:

Article downloads

all: , this year: , this month: , today:

View full article