Вестник Северо-Кавказского федерального университета (May 2022)
THE RISKS ON THE RUSSIAN FINANCIAL MARKET IN THE CONDITIONS OF GLOBALIZATION
Abstract
The article considers topical issues of functioning of the financial market in a globalized economy, approaches to determination of essence of the world financial market, classification of risks, inherent to the Russian financial market in terms of international sanctions. Analyzed the impact of the imposition of sanctions, the peculiarities of the stock market of the Moscow exchange in contrast to global exchanges. The analysis of risk factors in the financial market and ways to neutralize them.