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Methodical Issues of the Database Construction for the Dynamic Input-Output Model with a Human Capital Block 考虑人力资本块的动态投入产出模型数据库构建的方法问题
Pub Date : 1900-01-01 DOI: 10.25205/2542-0429-2018-18-2-5-20
Yu. M. Slepenkova
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引用次数: 0
Higher Education for the People with Disabilities in Russia: On the Path to the Inclusive Format 俄罗斯残疾人高等教育:迈向包容性模式之路
Pub Date : 1900-01-01 DOI: 10.25205/2542-0429-2018-18-4-254-268
T. Bogomolova, S. V. Korzhuk
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引用次数: 0
Finance 4.0 as the Idea of Digital Transformation of the Financial Sector 金融4.0:金融业数字化转型的理念
Pub Date : 1900-01-01 DOI: 10.25205/2542-0429-2020-20-2-134-148
V. Y. Pelykh
Rapid development and introduction of digital technologies has a significant impact on all areas of the economy. Everywhere causing a revision of existing paradigms, ways of interacting systems and aspects of business models. The author’s analysis of scientific publications shows that the recent financial crises are based on high risks of the traditional banking model, which are transferred to depositors and taxpayers. These processes have served as a driver for changes in the financial sector, changing existing concepts and paradigms towards the implementation of new digital approaches. The author, based on the analysis of the impact of technology on financial services, proposed the concept of Finance 4.0 implies a deep integration of digital technologies in the financial sector, which will lead to an increase in the quality and availability of services, as well as the formation of new rules that ensure healthy competition between market participants. As a result, the need for changes in both the economy as a whole and its branches is determined. This creates a need to develop current digital business models and methods for developing digital financial services. The purpose of the work is to offer a reasonable definition of Finance 4.0, as well as to identify the current requirements necessary for the implementation of the developed solutions within the financial environment. Which requires solving a number of research problems: 1. No definition of Finance 4.0. 2. Aspects of Finance 4.0 Are not defined. 3. It is Necessary to define the role of business models in the field of financial technologies. The relevance of the research is due to the fact that existing approaches to designing business models of financial services do not take into account the specifics of the idea of Finance 4.0 and the primacy of trust, which sometimes leads to the implementation of unprofitable solutions in the financial sector.
数字技术的快速发展和引入对经济的各个领域都产生了重大影响。任何地方都会导致对现有范例、交互系统的方式和业务模型的各个方面的修订。作者对科学出版物的分析表明,最近的金融危机是基于传统银行模式的高风险,这些风险转移到存款人和纳税人身上。这些过程推动了金融部门的变革,改变了现有的概念和范式,以实施新的数字方法。作者在分析技术对金融服务影响的基础上,提出金融4.0的概念意味着数字技术在金融领域的深度融合,这将导致服务质量和可用性的提高,并形成新的规则,确保市场参与者之间的健康竞争。因此,在整个经济及其分支中进行变革的必要性是确定的。这就需要开发当前的数字商业模式和方法来开发数字金融服务。这项工作的目的是为金融4.0提供一个合理的定义,并确定在金融环境中实施已开发解决方案所需的当前要求。这需要解决一些研究问题:1。没有金融4.0的定义。2. 金融4.0的各个方面没有定义。3.有必要明确商业模式在金融科技领域的作用。这项研究的相关性是由于现有的设计金融服务商业模式的方法没有考虑到金融4.0理念的细节和信任的首要性,这有时会导致在金融部门实施无利可图的解决方案。
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引用次数: 4
Integration potential of megaregional trade agreements in Asia-Pacific Region 亚太地区大区域贸易协定的一体化潜力
Pub Date : 1900-01-01 DOI: 10.25205/2542-0429-2020-20-2-84-103
M. Tomilov
Since the beginning of the XXI century, an increase in the number of new regional trade agreements has been recorded. At the same time, their quality content is changing significantly, which has led to the emergence of mega-regional trade agreements (MRTА). This process is particularly active in the fast-growing Asia-Pacific region (APR), where initiatives for the creation of the Trans-Pacific Partnership (TPP), The Comprehensive and Progressive Agreement for Trans-Pacific Partnership (CPTPP), the Regional Comprehensive Economic Partnership (RCEP) and the Free Trade Area of Asia-Pacific (FTAAP) have emerged during this period. However, it is still difficult to assess their effectiveness in terms of obtaining potential positive economic results. The article's aim is to assess integration potential of APR MRTA within two stages. At the first stage, methods of econometric analysis were used to determine the economic proximity of their participants. At the second stage, a gravitational model of foreign trade was constructed to assess all trade barriers (tariff, non-tariff, etc.) within the group of integrating countries. Based on the results of integration potential assessment, the author defines the most promising existing multilateral integration associations in the Asia-Pacific region, as well as a hypothetical group of countries in the region, which will receive the greatest trade and economic effects as a result of integration under the assumptions adopted in the study. In addition, an approach to assessing the integration potential and determining the optimal composition of the countries participating in MRTA based on the criteria of proximity of their economic development levels and the size of trade barriers within the group is proposed, methodically justified and implemented.
自二十一世纪初以来,新的区域贸易协定的数量有所增加。与此同时,它们的质量内容正在发生重大变化,这导致了大型区域贸易协定的出现(MRTА)。这一进程在快速发展的亚太地区(APR)尤为活跃,在此期间,跨太平洋伙伴关系协定(TPP)、全面与进步跨太平洋伙伴关系协定(CPTPP)、区域全面经济伙伴关系协定(RCEP)和亚太自由贸易区(FTAAP)等倡议相继出现。然而,就获得潜在的积极经济成果而言,仍然很难评估它们的有效性。本文的目的是在两个阶段评估APR MRTA的整合潜力。在第一阶段,使用计量经济学分析的方法来确定其参与者的经济接近性。第二阶段,构建对外贸易引力模型,评估一体化国家集团内的所有贸易壁垒(关税壁垒、非关税壁垒等)。基于一体化潜力评估的结果,作者定义了亚太地区现有的最有希望的多边一体化协会,以及在本研究所采用的假设下,该地区将因一体化而获得最大贸易和经济影响的一组国家。此外,还提出了一种评估一体化潜力的方法,并根据其经济发展水平的接近程度和集团内贸易壁垒的大小的标准确定参与MRTA的国家的最佳组成,并有条不紊地加以证明和实施。
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引用次数: 0
Spatial Aspects of the Labour Productivity Dynamics in Russia 俄罗斯劳动生产率动态的空间方面
Pub Date : 1900-01-01 DOI: 10.25205/2542-0429-2017-17-4-142-157
A. Bufetova
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引用次数: 6
Spatial and Aspectual Optimization of the World Investment Policy for Grain Growing 世界粮食种植投资政策的空间与格局优化
Pub Date : 1900-01-01 DOI: 10.25205/2542-0429-2020-20-4-176-194
D. Gertsekovich, L. Gorbachevskaya, O. Podlinyaev, T. Konstantinova
The article is devoted to the problems of creating at the international level the optimal investment policy in agricultural production. The problem is solved by means of the “Return-Risk” model, which is based on the basic principles of the portfolio analysis: return, risk and the return-risk ratio. The model is easy to implement and does not require special skills; for important estimates it is necessary and sufficient to use MSEXCEL Date Mining Add-in. This article analyses the historical data of 2010–2017 by productivity of grain crops in general: corn, wheat, barley and rice in different countries. The time span is 1 year. The source data are exported from knoema.com. The findings are as follows: 1) the leading countries with the most attractive potential investment results have been formed for each sample subgroup promise; 2) the benchmarking quantitative analysis on return, risk and the return-risk ratio revealed both the most investment-attractive crops depending on the investor’s attitude to the acceptable risk level, and the countries where the cultivation will be most profitable; 3) the results of the spatial, aspectual and global optimization afford synthesis of effective decision support investment systems. It is proved that the 3 % increase in risk leads to only 1 % return.
本文探讨了在国际层面上制定农业生产最优投资政策的问题。通过“收益-风险”模型来解决这个问题,该模型基于投资组合分析的基本原则:收益、风险和收益-风险比。该模型易于实现,不需要特殊技能;对于重要的估计,使用MSEXCEL日期挖掘插件是必要和足够的。本文分析了2010-2017年各国粮食作物生产率的历史数据,主要包括玉米、小麦、大麦和水稻。时间跨度为1年。源数据从knoema.com导出。结果表明:1)每个样本子组承诺形成了最具吸引力潜在投资结果的领先国家;2)对收益、风险和收益风险比的基准定量分析揭示了投资者对可接受风险水平的态度所决定的最具投资吸引力的作物和最有利可图的种植国家;③空间优化、方面优化和全局优化的结果为综合有效的投资决策支持系统提供了依据。事实证明,3%的风险增加只会带来1%的回报。
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引用次数: 0
Real-Options Approach to Economic Valuation of Rare Earths Development Projects 稀土开发项目经济评估的实物期权方法
Pub Date : 1900-01-01 DOI: 10.25205/2542-0429-2018-18-4-69-84
V. Yatsenko, N. Samsonov, Y. Kryukov
The choice of a correct and appropriate method for the valuation of economic efficiency of investment projects for the development of rare earth deposits is an actual and non-trivial issue within the framework of project analysis. Based on the comprehensive analysis of uncertainty and risk factors, it is concluded that such projects can be greatly under70 ÃËÍрÓ ̋ÍÓÌÓÏË ̃ÂÒÍËÈ ‡Ì‡ÎËÁ: ÏÂÚÓ‰ ̊ Ë рÂÁÛÎ ̧Ú‡Ú ̊
在项目分析的框架下,选择正确、合适的方法来评价稀土矿床开发投资项目的经济效益是一个现实而又不容忽视的问题。基于不确定性和风险因素的综合分析,结果表明,这类项目可以大大under70 AEIрŐIOIOIẼAOIEE‡我‡IEA: IAUO‰̊EрAAUI̧U‡̊
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引用次数: 4
Building a DSGE Model with the Endogenous Levels of Pollution, Health and Economic Development 污染、健康与经济发展内生水平的DSGE模型构建
Pub Date : 1900-01-01 DOI: 10.25205/2542-0429-2017-17-3-5-18
A. Bogomolova, D. Kolyuzhnov
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引用次数: 0
The Basis of Market Regulation of Payment Cards 支付卡市场调控的基础
Pub Date : 1900-01-01 DOI: 10.25205/2542-0429-2017-17-2-48-55
G. V. Khetagurov
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引用次数: 0
An Approach to Highlight the Dynamics in OMMM-Class Models (By the Example of OMMM-TEK) 一种突出ommm类模型动态特性的方法(以OMMM-TEK为例)
Pub Date : 1900-01-01 DOI: 10.25205/2542-0429-2018-18-4-112-125
N. Suslov, V. Buzulutskov
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引用次数: 0
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Wem-water Engineering & Management
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