Pub Date : 2024-07-15DOI: 10.18184/2079-4665.2024.15.2.315-330
S. Kozhevnikov, N. V. Voroshilov, I. A. Kryukov
Purpose: is to substantiate and test the methodological approach to the study of the housing market of “second-tier” urban agglomerations in a spatio-temporal projection.Methods: the methodological basis of the study was the theories of urban agglomeration and market integration. General scientific (analysis, synthesis, structural-functional), economic and statistical methods (identification of development trends, assessment of the integration of local housing markets), monographic analysis (research of approaches to market analysis), analysis of the regulatory framework were used.Results: the methodological approach to the study of the housing market of agglomerations is proposed and tested, the peculiarity of which is its analysis in a spatio-temporal projection based on analytics of Rosstat data and specialized information resources. Based on the results of its testing, the features of agglomerations were identified in terms of scale, spatial orientation of housing construction, and three types were identified: with an increase in the share of the core in the total volume of housing stock (Kaluga, Khanty-Mansiysk, Norilsk); core and one adjacent municipality (Vologda, Tambov, Yuzhno-Sakhalinsk); municipalities of the satellite zone (Arkhangelsk, Surgut). It is substantiated that the latter type is characteristic of agglomerations, that are generally at more mature stages of development. It was revealed that disproportions are manifested not only in the quantitative characteristics of housing, but its lower quality is noted in the satellite zone. It is shown that these features lead to a decrease in the potential for the development of integration processes in the market, which is also manifested in the weak transmission of price signals in the agglomeration space.Conclusions and Relevance: the hypothesis has been confirmed that in “second-tier” agglomerations, the agglomeration effects in the housing sector do not ensure spatial integration of the local core markets and satellite zone. It is substantiated that the movement towards integration is observed only in the Surgut and Arkhangelsk agglomerations. The results obtained can be used in the development of the strategic documents and projects for the development of these territories. The prospects of the study are seen in the development of institutional and economic foundations for the development of the housing market in agglomerations.
{"title":"The methodical approach to the study of the housing market of urban agglomerations of the “second-tier”","authors":"S. Kozhevnikov, N. V. Voroshilov, I. A. Kryukov","doi":"10.18184/2079-4665.2024.15.2.315-330","DOIUrl":"https://doi.org/10.18184/2079-4665.2024.15.2.315-330","url":null,"abstract":"Purpose: is to substantiate and test the methodological approach to the study of the housing market of “second-tier” urban agglomerations in a spatio-temporal projection.Methods: the methodological basis of the study was the theories of urban agglomeration and market integration. General scientific (analysis, synthesis, structural-functional), economic and statistical methods (identification of development trends, assessment of the integration of local housing markets), monographic analysis (research of approaches to market analysis), analysis of the regulatory framework were used.Results: the methodological approach to the study of the housing market of agglomerations is proposed and tested, the peculiarity of which is its analysis in a spatio-temporal projection based on analytics of Rosstat data and specialized information resources. Based on the results of its testing, the features of agglomerations were identified in terms of scale, spatial orientation of housing construction, and three types were identified: with an increase in the share of the core in the total volume of housing stock (Kaluga, Khanty-Mansiysk, Norilsk); core and one adjacent municipality (Vologda, Tambov, Yuzhno-Sakhalinsk); municipalities of the satellite zone (Arkhangelsk, Surgut). It is substantiated that the latter type is characteristic of agglomerations, that are generally at more mature stages of development. It was revealed that disproportions are manifested not only in the quantitative characteristics of housing, but its lower quality is noted in the satellite zone. It is shown that these features lead to a decrease in the potential for the development of integration processes in the market, which is also manifested in the weak transmission of price signals in the agglomeration space.Conclusions and Relevance: the hypothesis has been confirmed that in “second-tier” agglomerations, the agglomeration effects in the housing sector do not ensure spatial integration of the local core markets and satellite zone. It is substantiated that the movement towards integration is observed only in the Surgut and Arkhangelsk agglomerations. The results obtained can be used in the development of the strategic documents and projects for the development of these territories. The prospects of the study are seen in the development of institutional and economic foundations for the development of the housing market in agglomerations.","PeriodicalId":373043,"journal":{"name":"MIR (Modernization. Innovation. Research)","volume":" 1","pages":""},"PeriodicalIF":0.0,"publicationDate":"2024-07-15","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"141833347","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
Pub Date : 2024-07-15DOI: 10.18184/2079-4665.2024.15.2.281-297
E. Bobrova, I. Vyakina
Purpose: is to present the author's modification of the methodology for assessing the effectiveness of regional environmental quality management, created on the basis of the approved regulatory, legal and methodological framework in the field of assessing the effectiveness of the activities of regional authorities.Methods: along with general scientific methods of information processing, comparative analogies and scientific generalization, analysis and synthesis, methods of content analysis of the regulatory framework, economic and statistical analysis, mathematical processing and visualization of data, as well as clustering techniques were used to unite regions into homogeneous groups that have common environmental quality characteristics.Results: the authors have performed the critical analysis of the methodology for calculating the indicator “Environmental Quality” within the framework of the approved regulatory and methodological framework in the field of assessing the effectiveness of the activities of regional authorities and identified its shortcomings; have developed proposals to eliminate them and modify the methodology. Based on publicly available information, a method for clustering regions by environmental quality was proposed and tested in the context of accepted determinants of environmental quality. The proposed modification of the methodology for assessing the effectiveness of regional management in terms of improving the calculation of the integral indicator “Environmental Quality” will improve the objectivity of assessing the quality of regional management of natural resources.Conclusions and Relevance: using the actual values of environmental quality indicators instead of indices of their dynamics and plan implementation will make it possible to cluster regions according to the proposed determinants of environmental quality. Comparison within a cluster of regions with similar natural and economic conditions will provide authorities with the opportunity to develop the natural resource management strategy and develop effective measures in the field of environmental management, taking into account the dynamics of the state of techno-natural systems.
{"title":"Assessing the effectiveness of regional environmental quality management","authors":"E. Bobrova, I. Vyakina","doi":"10.18184/2079-4665.2024.15.2.281-297","DOIUrl":"https://doi.org/10.18184/2079-4665.2024.15.2.281-297","url":null,"abstract":"Purpose: is to present the author's modification of the methodology for assessing the effectiveness of regional environmental quality management, created on the basis of the approved regulatory, legal and methodological framework in the field of assessing the effectiveness of the activities of regional authorities.Methods: along with general scientific methods of information processing, comparative analogies and scientific generalization, analysis and synthesis, methods of content analysis of the regulatory framework, economic and statistical analysis, mathematical processing and visualization of data, as well as clustering techniques were used to unite regions into homogeneous groups that have common environmental quality characteristics.Results: the authors have performed the critical analysis of the methodology for calculating the indicator “Environmental Quality” within the framework of the approved regulatory and methodological framework in the field of assessing the effectiveness of the activities of regional authorities and identified its shortcomings; have developed proposals to eliminate them and modify the methodology. Based on publicly available information, a method for clustering regions by environmental quality was proposed and tested in the context of accepted determinants of environmental quality. The proposed modification of the methodology for assessing the effectiveness of regional management in terms of improving the calculation of the integral indicator “Environmental Quality” will improve the objectivity of assessing the quality of regional management of natural resources.Conclusions and Relevance: using the actual values of environmental quality indicators instead of indices of their dynamics and plan implementation will make it possible to cluster regions according to the proposed determinants of environmental quality. Comparison within a cluster of regions with similar natural and economic conditions will provide authorities with the opportunity to develop the natural resource management strategy and develop effective measures in the field of environmental management, taking into account the dynamics of the state of techno-natural systems.","PeriodicalId":373043,"journal":{"name":"MIR (Modernization. Innovation. Research)","volume":" 56","pages":""},"PeriodicalIF":0.0,"publicationDate":"2024-07-15","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"141833821","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
Pub Date : 2024-07-15DOI: 10.18184/2079-4665.2024.15.2.248-263
E. Shkarupeta
Purpose: is to develop the integrated approach to assessing and determining the role and factors of technopolis development in the context of improving economic security of the depressed region.Methods: to analyze the current state of technopolis development in the Russian Federation, the comprehensive multi-component methodological approach was developed, including qualitative and quantitative analysis, as well as statistical methods of data interpretation. This approach was applied to assess the technopolis development of 14 science cities in Russia, the results of which were presented in the form of the composite index heat map. The source of initial data is Rosstat.Results:the study analyzed the evolution of the technopolis concept from the late 19th century to the present. This made it possible to identify the key factors influencing the transformation of scientific and innovation ecosystems. In particular, it was found that modern technopolises in Russia are often the result of renaming or transformation of existing science cities. In the context of economic security of the depressed regions, the factors influencing technopolis development were analyzed. Special attention was paid to the science city of Biysk, located in the largest depressive region of the country – Altai Krai.Conclusions and Relevance: the study showed that technopolises can act as catalysts of economic revival of the depressed regions. However, it also revealed the risks of creating socio-economic imbalances, which indicates the need for a differentiated approach when implementing technopolis projects in the such regions. The results of the study can be used to develop strategies for the management and development of technopolises, as well as to improve the economic security of the depressed regions. The main directions of further research may include analyzing the relationship between technopolis development and economic security, as well as the development of specific management and financing mechanisms.
{"title":"Determination of the role and factors of technopolis development in the economic security of the depressed regions","authors":"E. Shkarupeta","doi":"10.18184/2079-4665.2024.15.2.248-263","DOIUrl":"https://doi.org/10.18184/2079-4665.2024.15.2.248-263","url":null,"abstract":"Purpose: is to develop the integrated approach to assessing and determining the role and factors of technopolis development in the context of improving economic security of the depressed region.Methods: to analyze the current state of technopolis development in the Russian Federation, the comprehensive multi-component methodological approach was developed, including qualitative and quantitative analysis, as well as statistical methods of data interpretation. This approach was applied to assess the technopolis development of 14 science cities in Russia, the results of which were presented in the form of the composite index heat map. The source of initial data is Rosstat.Results:the study analyzed the evolution of the technopolis concept from the late 19th century to the present. This made it possible to identify the key factors influencing the transformation of scientific and innovation ecosystems. In particular, it was found that modern technopolises in Russia are often the result of renaming or transformation of existing science cities. In the context of economic security of the depressed regions, the factors influencing technopolis development were analyzed. Special attention was paid to the science city of Biysk, located in the largest depressive region of the country – Altai Krai.Conclusions and Relevance: the study showed that technopolises can act as catalysts of economic revival of the depressed regions. However, it also revealed the risks of creating socio-economic imbalances, which indicates the need for a differentiated approach when implementing technopolis projects in the such regions. The results of the study can be used to develop strategies for the management and development of technopolises, as well as to improve the economic security of the depressed regions. The main directions of further research may include analyzing the relationship between technopolis development and economic security, as well as the development of specific management and financing mechanisms.","PeriodicalId":373043,"journal":{"name":"MIR (Modernization. Innovation. Research)","volume":" 14","pages":""},"PeriodicalIF":0.0,"publicationDate":"2024-07-15","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"141833275","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
Pub Date : 2024-07-15DOI: 10.18184/2079-4665.2024.15.2.264-280
T. Melnikova, T. A. Nagoeva, M. Kireeva, O. L. Lukasheva, O. N. Mishchuk
Purpose: is to present and to substantiate methodological approaches to comparing the municipalities by income, taking into account the specially protected natural areas (SPNA) located on them.Methods: the clustering method (k-means) is used to differentiate municipalities within groups built according to the SPNAs network scale. The method of full-time formalized interviews is used to compare the tourists` expenses at the SPNA of urban districts. The comparative analysis method is used to compare the economic parameters of municipalities involved in the overall ecotourism project.Results: the authors proposed three methodological approaches to comparing municipalities based on the income of local residents and the municipality as a whole. Within the first approach, characteristics of groups of municipalities formed according to the share of SPNA`s area in the area of the municipality were obtained. The group with the weakest position in terms of budget self-sufficiency is «10.1%– 15.0%», in terms of population changes – «15.1%–20.0%», in terms of residents` income level – «20.1%–30.0%». The second approach made it possible to estimate the income of urban districts from SPNA visits. Under the level of SPNA attendance and the number of tourists, the annual volume of tourist spending on SPNA ranges from 0.1 billion up to 0.5 billion rubles. The comparison of municipalities connected by a single project on SPNA revealed the data on the small businesses development and territory`s tax revenues, as well as the features in the local residents` income level changes.Conclusions and Relevance: the obtained characteristics of groups of municipalities indicate insufficient use of the potential of SPNA to generate income for the local residents (group «20.1%–30.0%») and income for the territory (group «10.1%–15.0%»). Urban districts` SPNA tourist visits can provide a significant revenue base for the municipality, but its volume is not always determined by the SPNA network scale. The development of eco-tourism in rural municipalities makes it possible to reduce the crisis periods` impact on the local budget filling and residents` income.
{"title":"Comparison of municipalities within whose borders specially protected natural areas are located","authors":"T. Melnikova, T. A. Nagoeva, M. Kireeva, O. L. Lukasheva, O. N. Mishchuk","doi":"10.18184/2079-4665.2024.15.2.264-280","DOIUrl":"https://doi.org/10.18184/2079-4665.2024.15.2.264-280","url":null,"abstract":"Purpose: is to present and to substantiate methodological approaches to comparing the municipalities by income, taking into account the specially protected natural areas (SPNA) located on them.Methods: the clustering method (k-means) is used to differentiate municipalities within groups built according to the SPNAs network scale. The method of full-time formalized interviews is used to compare the tourists` expenses at the SPNA of urban districts. The comparative analysis method is used to compare the economic parameters of municipalities involved in the overall ecotourism project.Results: the authors proposed three methodological approaches to comparing municipalities based on the income of local residents and the municipality as a whole. Within the first approach, characteristics of groups of municipalities formed according to the share of SPNA`s area in the area of the municipality were obtained. The group with the weakest position in terms of budget self-sufficiency is «10.1%– 15.0%», in terms of population changes – «15.1%–20.0%», in terms of residents` income level – «20.1%–30.0%». The second approach made it possible to estimate the income of urban districts from SPNA visits. Under the level of SPNA attendance and the number of tourists, the annual volume of tourist spending on SPNA ranges from 0.1 billion up to 0.5 billion rubles. The comparison of municipalities connected by a single project on SPNA revealed the data on the small businesses development and territory`s tax revenues, as well as the features in the local residents` income level changes.Conclusions and Relevance: the obtained characteristics of groups of municipalities indicate insufficient use of the potential of SPNA to generate income for the local residents (group «20.1%–30.0%») and income for the territory (group «10.1%–15.0%»). Urban districts` SPNA tourist visits can provide a significant revenue base for the municipality, but its volume is not always determined by the SPNA network scale. The development of eco-tourism in rural municipalities makes it possible to reduce the crisis periods` impact on the local budget filling and residents` income.","PeriodicalId":373043,"journal":{"name":"MIR (Modernization. Innovation. Research)","volume":" 21","pages":""},"PeriodicalIF":0.0,"publicationDate":"2024-07-15","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"141832917","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
Pub Date : 2024-07-15DOI: 10.18184/2079-4665.2024.15.2.209-227
A. R. Sadriev, R. A. Vasilev
Purpose: is to form a comprehensive understanding of the patterns of publication activity in the field of decarbonization that have developed in the global and Russian scientific space, in order to identify promising scientific areas on this basis that can define new research horizons in achieving carbon neutrality.Methods: the research methods involved bibliographic and bibliometric analyses of scholarly publications, utilizing data from the Scopus and eLibrary databases. The study encompasses the timeframe from 2012 to 2022. The research methodology is structured to address three key objectives. Firstly, it aims to identify the quantitative dynamics of global publication activity in the realm of decarbonization. Secondly, the investigation seeks to analyze publication patterns at the levels of research organizations, countries, keywords, related topics, scientific publications, subject areas, and thematic groups, including clusters of thematic groups. Thirdly, the research involves semantic analysis of publications and the identification of points of research interest within the contexts of both global and Russian scientific landscapes.Results: it has been established that bibliographic clustering of studies on decarbonization problems occurs not so much around technical and technological solutions, but in conceptually broader coordinates. It has been identified that the aspiration for carbon neutrality is predominantly observed in economies characterized by a high standard of living, where citizens exhibit a heightened sense of social responsibility and a greater commitment to enhancing the quality of life for future generations. It was revealed that if the global problems of decarbonization are the center of gravity of the most powerful researchers and scientific teams, but in Russia this topic is not yet characterized by a comparable positioning.Conclusions and Relevance: systematization of decarbonization research, which is rapidly developing both in terms of volume indicators and in terms of increasing its interdisciplinarity and social relevance, is the most important condition for effective scientific orientation and research routing in a highly fragmented and contradictory development space on the problems of the global energy transition.
{"title":"Landscape of scientific research on the problems of decarbonization and achieving carbon neutrality of national economies","authors":"A. R. Sadriev, R. A. Vasilev","doi":"10.18184/2079-4665.2024.15.2.209-227","DOIUrl":"https://doi.org/10.18184/2079-4665.2024.15.2.209-227","url":null,"abstract":"Purpose: is to form a comprehensive understanding of the patterns of publication activity in the field of decarbonization that have developed in the global and Russian scientific space, in order to identify promising scientific areas on this basis that can define new research horizons in achieving carbon neutrality.Methods: the research methods involved bibliographic and bibliometric analyses of scholarly publications, utilizing data from the Scopus and eLibrary databases. The study encompasses the timeframe from 2012 to 2022. The research methodology is structured to address three key objectives. Firstly, it aims to identify the quantitative dynamics of global publication activity in the realm of decarbonization. Secondly, the investigation seeks to analyze publication patterns at the levels of research organizations, countries, keywords, related topics, scientific publications, subject areas, and thematic groups, including clusters of thematic groups. Thirdly, the research involves semantic analysis of publications and the identification of points of research interest within the contexts of both global and Russian scientific landscapes.Results: it has been established that bibliographic clustering of studies on decarbonization problems occurs not so much around technical and technological solutions, but in conceptually broader coordinates. It has been identified that the aspiration for carbon neutrality is predominantly observed in economies characterized by a high standard of living, where citizens exhibit a heightened sense of social responsibility and a greater commitment to enhancing the quality of life for future generations. It was revealed that if the global problems of decarbonization are the center of gravity of the most powerful researchers and scientific teams, but in Russia this topic is not yet characterized by a comparable positioning.Conclusions and Relevance: systematization of decarbonization research, which is rapidly developing both in terms of volume indicators and in terms of increasing its interdisciplinarity and social relevance, is the most important condition for effective scientific orientation and research routing in a highly fragmented and contradictory development space on the problems of the global energy transition.","PeriodicalId":373043,"journal":{"name":"MIR (Modernization. Innovation. Research)","volume":" 9","pages":""},"PeriodicalIF":0.0,"publicationDate":"2024-07-15","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"141832639","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
Pub Date : 2024-07-15DOI: 10.18184/2079-4665.2024.15.2.192-208
O. M. Pisareva
Purpose: is to form a conceptual approach to the analysis of the macroeconomic effects of external sanctions based on increasing the information content of the use of technical indicators in assessing the stability and vulnerability of the national economy to the effects of discriminatory restrictions in foreign economic activity. Methods: the study is based on the processing and analysis of data obtained as a result of content analysis of a significant number of scientific, scientific-practical, and expert sources of information.Methods of scientific generalization and classification, economic, expert and statistical analysis were used.Results: the analysis of the impact of sanctions restrictions on the key indicators of the characteristics of sustainable and innovative development of the discriminated national economy is carried out. An approach to assessing the impact of sanctions is presented based on a conjugate analysis of the dynamics of target groupings of indicators. An example of calculations, visualization and interpretation of the results of assessing sanctions resistance and export-import dependence of the national economy based on a set of technical indicators for significant areas of socio-economic development of the discriminated country is illustrated. The scope of application of the proposed approach in the formation of the development strategy and program (in terms of the implementation of the process of import substitution, ensuring technological independence and structural adaptation of the economy) is justified, taking into account the risks of sanctions restrictions.Conclusions and Relevance: the proposed approach to the analysis of sanctions restrictions based on the combined use of technical criteria for the dynamics of grouped indicators provides an increase in the reliability of estimates of their negative impact. However, aggregated estimates do not allow us to justify selective and targeted measures aimed at adapting the institutional and organizational conditions of the activities of specific economic agents in key areas of the national economy. A possible direction for further research may be the development of methodological and analytical tools for assessing the sanctions stability of economic sectors to substantiate the priorities of ensuring their technological independence.
{"title":"Formation of methodological foundations for the analysis of national development in conditions of foreign economic discrimination","authors":"O. M. Pisareva","doi":"10.18184/2079-4665.2024.15.2.192-208","DOIUrl":"https://doi.org/10.18184/2079-4665.2024.15.2.192-208","url":null,"abstract":"Purpose: is to form a conceptual approach to the analysis of the macroeconomic effects of external sanctions based on increasing the information content of the use of technical indicators in assessing the stability and vulnerability of the national economy to the effects of discriminatory restrictions in foreign economic activity. Methods: the study is based on the processing and analysis of data obtained as a result of content analysis of a significant number of scientific, scientific-practical, and expert sources of information.Methods of scientific generalization and classification, economic, expert and statistical analysis were used.Results: the analysis of the impact of sanctions restrictions on the key indicators of the characteristics of sustainable and innovative development of the discriminated national economy is carried out. An approach to assessing the impact of sanctions is presented based on a conjugate analysis of the dynamics of target groupings of indicators. An example of calculations, visualization and interpretation of the results of assessing sanctions resistance and export-import dependence of the national economy based on a set of technical indicators for significant areas of socio-economic development of the discriminated country is illustrated. The scope of application of the proposed approach in the formation of the development strategy and program (in terms of the implementation of the process of import substitution, ensuring technological independence and structural adaptation of the economy) is justified, taking into account the risks of sanctions restrictions.Conclusions and Relevance: the proposed approach to the analysis of sanctions restrictions based on the combined use of technical criteria for the dynamics of grouped indicators provides an increase in the reliability of estimates of their negative impact. However, aggregated estimates do not allow us to justify selective and targeted measures aimed at adapting the institutional and organizational conditions of the activities of specific economic agents in key areas of the national economy. A possible direction for further research may be the development of methodological and analytical tools for assessing the sanctions stability of economic sectors to substantiate the priorities of ensuring their technological independence.","PeriodicalId":373043,"journal":{"name":"MIR (Modernization. Innovation. Research)","volume":" 15","pages":""},"PeriodicalIF":0.0,"publicationDate":"2024-07-15","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"141833152","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
Pub Date : 2024-07-15DOI: 10.18184/2079-4665.2024.15.2.331-348
G. Khmeleva, N. Skreblov
Purpose: is to evaluate the modern role of transport infrastructure as the factor in the development of the regional economy and strengthening competitive positions outside the country using the example of China.Methods: the correlation-regression analysis, traditionally used to solve the task of the identifying influencing factors, was applied to the economic and transportation indicators across 28 Chinese regions for the year 2021. It was supplemented by the analysis of statistical data and the thematic case study of data on Chinese investments into the transport infrastructure projects both domestically, and abroad.Results: the assessment of infrastructure development of the railway and port infrastructure was carried out based on the analysis of the dynamics of the main indicators. The construction of a correlation and regression analysis model made it possible to form an idea of the impact of China's transport infrastructure on the gross regional product of the provinces. The degree of penetration of Chinese influence into other economies of the world through investments in transport infrastructure has been assessed. The tools for promoting infrastructure projects have been identified that characterize Chinese specifics and make it possible to ensure the country's competitiveness at the global level.Conclusions and Relevance: China is the striking example of the widespread construction of ports, railways, and highways, in addition to the creation of direct freight vehicles and dry cargo ships for the distribution of their products. The high importance of transport infrastructure and the number of employed people in this industry for the growth of the regional product of the provinces of China has been revealed. In the external circuit, the PRC is actively using the strategy of lending to other countries for the construction of infrastructure on their territories. The construction of roads, airports, seaports, power plants and transmission lines allow China to create infrastructure enclaves in developing countries to market its goods and export raw materials for subsequent processing. Borrowing the experience of the PRC in terms of mechanisms for granting grants and loans for the implementation of infrastructure projects will allow Russia to create an extensive system of movement of national goods to markets where they are most in demand in the territories of neighboring states.
{"title":"Transport infrastructure in ensuring regional development and China's global competitiveness","authors":"G. Khmeleva, N. Skreblov","doi":"10.18184/2079-4665.2024.15.2.331-348","DOIUrl":"https://doi.org/10.18184/2079-4665.2024.15.2.331-348","url":null,"abstract":"Purpose: is to evaluate the modern role of transport infrastructure as the factor in the development of the regional economy and strengthening competitive positions outside the country using the example of China.Methods: the correlation-regression analysis, traditionally used to solve the task of the identifying influencing factors, was applied to the economic and transportation indicators across 28 Chinese regions for the year 2021. It was supplemented by the analysis of statistical data and the thematic case study of data on Chinese investments into the transport infrastructure projects both domestically, and abroad.Results: the assessment of infrastructure development of the railway and port infrastructure was carried out based on the analysis of the dynamics of the main indicators. The construction of a correlation and regression analysis model made it possible to form an idea of the impact of China's transport infrastructure on the gross regional product of the provinces. The degree of penetration of Chinese influence into other economies of the world through investments in transport infrastructure has been assessed. The tools for promoting infrastructure projects have been identified that characterize Chinese specifics and make it possible to ensure the country's competitiveness at the global level.Conclusions and Relevance: China is the striking example of the widespread construction of ports, railways, and highways, in addition to the creation of direct freight vehicles and dry cargo ships for the distribution of their products. The high importance of transport infrastructure and the number of employed people in this industry for the growth of the regional product of the provinces of China has been revealed. In the external circuit, the PRC is actively using the strategy of lending to other countries for the construction of infrastructure on their territories. The construction of roads, airports, seaports, power plants and transmission lines allow China to create infrastructure enclaves in developing countries to market its goods and export raw materials for subsequent processing. Borrowing the experience of the PRC in terms of mechanisms for granting grants and loans for the implementation of infrastructure projects will allow Russia to create an extensive system of movement of national goods to markets where they are most in demand in the territories of neighboring states.","PeriodicalId":373043,"journal":{"name":"MIR (Modernization. Innovation. Research)","volume":" 38","pages":""},"PeriodicalIF":0.0,"publicationDate":"2024-07-15","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"141832743","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
Pub Date : 2024-07-15DOI: 10.18184/2079-4665.2024.15.2.298-314
E. Kochetkov
Purpose: is to identify the main directions of changing the theory of crisis management of companies under the influence of digitalization based on the analysis of technological transformations in the economy and institutional prerequisites.Methods: to achieve the purpose of the study, methods of logical, institutional and statistical analysis of economic phenomena and financial and economic data of industrial and digital companies, economic comparative studies using the provisions of various theories are used. The theoretical basis of the research is the synthesis of the theory of technological revolutions by Perez C., the new institutional economic theory, the concept of scientific research programs by Lakatos I.Results: the formulated hypotheses of the study on the need to change the «protective shell» of the theory of crisis management under the influence of factors of the digital transformation of the institutional economy are proved. The changes are associated with the formation of new subjects – digital companies, the transformation of the nature of crises and anti-crisis tools in the context of the digital revolution. The institutional nature of business crises in the context of technological revolutions has been established, due to the discrepancy between the speed of development of the economic institutions and technologies.Conclusions and Relevance: the digital revolution is having a significant impact on business. Its adaptation to digital technological conditions requires the development of the new and improvement of existing institutions. These changes challenge the theory of management, which must adapt its basis to the new technological needs of the business. Сrisis management plays an important role in this: the rapid development of digital technologies is accompanied by the crisis factors, the nature of most of which is institutional in nature. However, to date, despite the obvious need, the directions of transformation of the theory of crisis management have not been determined at the scientific and theoretical level. According to the results of the study, the key artifacts of the digital economy have been identified that determine the directions of transformation of the theory of crisis management by transforming its «protective shell». The institutional nature of the prerequisites for such a transformation is proved. The results of the study determine the future directions of the development of the theory of crisis management.
{"title":"The impact of the digital technological revolution on the development of crisis management theory","authors":"E. Kochetkov","doi":"10.18184/2079-4665.2024.15.2.298-314","DOIUrl":"https://doi.org/10.18184/2079-4665.2024.15.2.298-314","url":null,"abstract":"Purpose: is to identify the main directions of changing the theory of crisis management of companies under the influence of digitalization based on the analysis of technological transformations in the economy and institutional prerequisites.Methods: to achieve the purpose of the study, methods of logical, institutional and statistical analysis of economic phenomena and financial and economic data of industrial and digital companies, economic comparative studies using the provisions of various theories are used. The theoretical basis of the research is the synthesis of the theory of technological revolutions by Perez C., the new institutional economic theory, the concept of scientific research programs by Lakatos I.Results: the formulated hypotheses of the study on the need to change the «protective shell» of the theory of crisis management under the influence of factors of the digital transformation of the institutional economy are proved. The changes are associated with the formation of new subjects – digital companies, the transformation of the nature of crises and anti-crisis tools in the context of the digital revolution. The institutional nature of business crises in the context of technological revolutions has been established, due to the discrepancy between the speed of development of the economic institutions and technologies.Conclusions and Relevance: the digital revolution is having a significant impact on business. Its adaptation to digital technological conditions requires the development of the new and improvement of existing institutions. These changes challenge the theory of management, which must adapt its basis to the new technological needs of the business. Сrisis management plays an important role in this: the rapid development of digital technologies is accompanied by the crisis factors, the nature of most of which is institutional in nature. However, to date, despite the obvious need, the directions of transformation of the theory of crisis management have not been determined at the scientific and theoretical level. According to the results of the study, the key artifacts of the digital economy have been identified that determine the directions of transformation of the theory of crisis management by transforming its «protective shell». The institutional nature of the prerequisites for such a transformation is proved. The results of the study determine the future directions of the development of the theory of crisis management.","PeriodicalId":373043,"journal":{"name":"MIR (Modernization. Innovation. Research)","volume":" 23","pages":""},"PeriodicalIF":0.0,"publicationDate":"2024-07-15","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"141833119","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
Pub Date : 2024-04-05DOI: 10.18184/2079-4665.2024.15.1.148-165
I. N. Tkachenko, L. A. Ramenskaya
Purpose: is to test the research tools for studying modern trends in the implementation of ESG practices and their effectiveness in Russian companies. Methods: this article examines the applicability of the research tools for analyzing the activities of organizations in the direction of the ESG agenda. We analyzed such tools as comparative analysis of fi nancing ESG projects, content analysis of report texts, regression analysis of the relationship between the ESG ratings and the fi nancial performance of the company. A comparative analysis of methods was carried out based on the results of appropriation of instruments. Results: the main result of the reporting analysis is the identifi cation of a trend towards reducing disclosure of information on the financing of ESG projects. We can identify main areas of investment in requests from external and internal stakeholders based on available financing information. The conclusion about the increase in mentions of social projects and initiatives in the fi eld of environmental protection based on a content analysis results. We also identifi ed the highest priority areas for each of the ESG components. The main priorities are: the social agenda – "employee welfare"; responsible attitude to the environment – "reduction of greenhouse gas emissions", "energy–efficient materials and technologies", "waste management" and "water consumption"; corporate governance – "observance of shareholders' rights". The hypothesis about the positive impact of ESG rating on company value confi rmed. There was a positive relationship between a company's environmental performance and value, as well as a negative relationship between value and social performance. Conclusions and Relevance: despite the challenges and sanctions restrictions, Russian companies continue to be active in the ESG field. For a more complete analysis of the ESG projects and their coverage in non-financial reporting, it is preferable to use a combination of research tools.
{"title":"Research tools for studying modern trends in the implementation of ESG practices in Russian companies","authors":"I. N. Tkachenko, L. A. Ramenskaya","doi":"10.18184/2079-4665.2024.15.1.148-165","DOIUrl":"https://doi.org/10.18184/2079-4665.2024.15.1.148-165","url":null,"abstract":" Purpose: is to test the research tools for studying modern trends in the implementation of ESG practices and their effectiveness in Russian companies. Methods: this article examines the applicability of the research tools for analyzing the activities of organizations in the direction of the ESG agenda. We analyzed such tools as comparative analysis of fi nancing ESG projects, content analysis of report texts, regression analysis of the relationship between the ESG ratings and the fi nancial performance of the company. A comparative analysis of methods was carried out based on the results of appropriation of instruments. Results: the main result of the reporting analysis is the identifi cation of a trend towards reducing disclosure of information on the financing of ESG projects. We can identify main areas of investment in requests from external and internal stakeholders based on available financing information. The conclusion about the increase in mentions of social projects and initiatives in the fi eld of environmental protection based on a content analysis results. We also identifi ed the highest priority areas for each of the ESG components. The main priorities are: the social agenda – \"employee welfare\"; responsible attitude to the environment – \"reduction of greenhouse gas emissions\", \"energy–efficient materials and technologies\", \"waste management\" and \"water consumption\"; corporate governance – \"observance of shareholders' rights\". The hypothesis about the positive impact of ESG rating on company value confi rmed. There was a positive relationship between a company's environmental performance and value, as well as a negative relationship between value and social performance. Conclusions and Relevance: despite the challenges and sanctions restrictions, Russian companies continue to be active in the ESG field. For a more complete analysis of the ESG projects and their coverage in non-financial reporting, it is preferable to use a combination of research tools.","PeriodicalId":373043,"journal":{"name":"MIR (Modernization. Innovation. Research)","volume":"98 2","pages":""},"PeriodicalIF":0.0,"publicationDate":"2024-04-05","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"140740727","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
Pub Date : 2024-04-05DOI: 10.18184/2079-4665.2024.15.1.166-184
L. Gamidullaeva
Purpose: is to identify state of the art, key aspects and distinctive characteristics of the smart specialization concept based on a study of the current state and the initial prerequisites for its formation, including linkages with other theoretical approaches. Methods: theoretical provisions of regional and spatial economics, innovative development, and economic geography by Russian and foreign scientists were used for conducting the research. Тhe methods of bibliometric, statistical and content analysis of literary sources constituted a methodological framework for the study. A systematization of publications for 2012–2021 was grounded on thematic samples from eLIBRARY.ru, Scopus and Web of Science databases. An analysis of text array content was conducted with the aim of further critical interpretation of the revealed patterns and identifi cation of promising research directions. Results: it was found, that despite the fact that the concept of the smart specialization was based on many previous theoretical approaches, it made a signifi cant contribution to the new political vision of regional development. It is shown how the initially sectoral approach, through the use of the postulates of economic geography, was transformed into the territorial concept. The conducted bibliometric and content analyses of literary sources made it possible to identify the inherent characteristics of the concept, principles and tools for its implementation, as well as formulate the author’s defi nition of the smart specialization approach. Conclusions and Relevance: the importance of smart specialization consists of the following aspects. Firstly, substantiating the need for differentiated regional policy for various types of regional innovation systems. Secondly, scientifi c and practical substantiating the importance of the related diversifi cation approach to regional development to stimulate structural changes that are signifi cant for economic dynamics. Thirdly, focusing on interregional interaction to ensure complementarity of scientifi c and technological regional development.
目的:在研究智能专业化概念的现状及其形成的初始前提条件(包括与其他理论方法的联 系)的基础上,确定智能专业化概念的技术水平、关键方面和显著特征。 研究方法:采用俄罗斯和外国科学家关于区域和空间经济学、创新发展和经济地理学的理论规定进行研究。文献资料的文献计量、统计和内容分析方法构成了研究的方法框架。以 eLIBRARY.ru、Scopus 和 Web of Science 数据库中的专题样本为基础,对 2012-2021 年的出版物进行了系统整理。对文本阵列内容进行了分析,目的是对所揭示的模式进行进一步的批判性解释,并确定有前景的研究方向。 结果:研究发现,尽管智能专业化的概念是基于以前的许多理论方法,但它对区域发展的新政治愿景做出了重要贡献。研究表明,最初的部门方法是如何通过使用经济地理学假设转化为地域概念的。通过对文献资料进行文献计量学分析和内容分析,可以确定这一概念的固有特 征、实施原则和工具,以及作者对智能专业化方法的定义。 结论与现实意义:智能专业化的重要性包括以下几个方面。首先,证明有必要为各种类型的地区创新体系制定不同的地区政策。其次,从科学和实践角度证实相关多元化方法对地区发展的重要性,以刺激对经济发展具有重要意义的结构变革。第三,注重区域间互动,确保科学和技术区域发展的互补性。
{"title":"Smart specialization: origin and state of the art","authors":"L. Gamidullaeva","doi":"10.18184/2079-4665.2024.15.1.166-184","DOIUrl":"https://doi.org/10.18184/2079-4665.2024.15.1.166-184","url":null,"abstract":" Purpose: is to identify state of the art, key aspects and distinctive characteristics of the smart specialization concept based on a study of the current state and the initial prerequisites for its formation, including linkages with other theoretical approaches. Methods: theoretical provisions of regional and spatial economics, innovative development, and economic geography by Russian and foreign scientists were used for conducting the research. Тhe methods of bibliometric, statistical and content analysis of literary sources constituted a methodological framework for the study. A systematization of publications for 2012–2021 was grounded on thematic samples from eLIBRARY.ru, Scopus and Web of Science databases. An analysis of text array content was conducted with the aim of further critical interpretation of the revealed patterns and identifi cation of promising research directions. Results: it was found, that despite the fact that the concept of the smart specialization was based on many previous theoretical approaches, it made a signifi cant contribution to the new political vision of regional development. It is shown how the initially sectoral approach, through the use of the postulates of economic geography, was transformed into the territorial concept. The conducted bibliometric and content analyses of literary sources made it possible to identify the inherent characteristics of the concept, principles and tools for its implementation, as well as formulate the author’s defi nition of the smart specialization approach. Conclusions and Relevance: the importance of smart specialization consists of the following aspects. Firstly, substantiating the need for differentiated regional policy for various types of regional innovation systems. Secondly, scientifi c and practical substantiating the importance of the related diversifi cation approach to regional development to stimulate structural changes that are signifi cant for economic dynamics. Thirdly, focusing on interregional interaction to ensure complementarity of scientifi c and technological regional development.","PeriodicalId":373043,"journal":{"name":"MIR (Modernization. Innovation. Research)","volume":"23 12","pages":""},"PeriodicalIF":0.0,"publicationDate":"2024-04-05","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"140740216","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}