Sanctions and dollar dependency in Russia: resilience, vulnerability, and financial integration

IF 2.5 2区 社会学 Q1 AREA STUDIES Post-Soviet Affairs Pub Date : 2021-05-04 DOI:10.1080/1060586X.2021.1913932
Erik Andermo, M. Kragh
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引用次数: 8

Abstract

ABSTRACT What are the long-term effects of the financial sanctions against Russia? We provide a time-sensitive analysis of the sanctions impact on certain Russian financial markets and highlight how Russia has responded strategically. Our analysis also captures the effect of the threat of sanctions and informs the debate on sanctions effectiveness. Thus, our study indicates how financial sanctions can be incorporated into theories of deterrence and conflict resolution. We also provide some policy implications that can be generalized and reinforce previous research. Russia’s banking system is highly dependent on dollar transactions, and in response to sanctions, Russia has systematically undertaken measures to promote its economic sovereignty under conditions of continued financial integration. We argue that sanctions put some pressure on the Russian budget, and that this effect has been exacerbated by the Covid-19 crisis, but also that Russia has used debt placements strategically in order to deter sanctions escalation.
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俄罗斯的制裁和美元依赖:韧性、脆弱性和金融一体化
对俄金融制裁的长期影响是什么?我们对制裁对某些俄罗斯金融市场的影响进行了具有时效性的分析,并重点介绍了俄罗斯是如何做出战略性回应的。我们的分析还抓住了制裁威胁的影响,并为有关制裁有效性的辩论提供了信息。因此,我们的研究表明如何将金融制裁纳入威慑和解决冲突的理论。我们还提供了一些可以概括和加强先前研究的政策含义。俄罗斯的银行体系高度依赖美元交易,作为对制裁的回应,俄罗斯已系统地采取措施,在继续金融一体化的条件下促进其经济主权。我们认为,制裁给俄罗斯的预算带来了一些压力,这种影响因新冠肺炎危机而加剧,但俄罗斯也在战略上利用债务配售来阻止制裁升级。
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来源期刊
CiteScore
5.00
自引率
13.60%
发文量
24
期刊介绍: Quarterly publication featuring the work of prominent Western scholars on the republics of the former Soviet Union providing exclusive, up-to-the-minute analyses of the state of the economy and society, progress toward economic reform, and linkages between political and social changes and economic developments. Published since 1985.
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