Вестник Северо-Кавказского федерального университета (May 2022)
CONFIDENT GAIT FROM CRISIS TO CRISIS OR THE LANGUAGE OF STATISTICS ABOUT THE RUSSIAN ECONOMY
Abstract
As part of the proposed article analyzes the dynamics and causes of the last three crises of the Russian economy. The authors identify four waves of crises since 1991: the crisis of economic transformation (19911996), the sovereign default of1998 (1997-1999); the global financial crisis (2008-2009), 2014-2015, the crisis (since 2013). Most authors pay close attention to the dynamics and the reason for the current crisis, which, despite its foreign policy underpinnings, has an economic systemic. Conclusions are as a result drawn that crises are well illustrated by falling of the majority of indicators; GDP indicator per capita more reflects an economic situation in the country whereas a salary - the income of the population. Judging by falling of salaries, crisis of 2013 has more dificult nature and the deep reasons as in and a case with GDP indicator per capita, one may say, that crisis «has ripened» before «sanctions countersanctions», they only catalyzed it. Projecting noted features on crisis of 2013, it is necessary to expect that on restoration of level of salaries most likely not less than 3-5 years will leave.