Monitoring of Russia’s Economic Outlook No.6(44) April 2017

Publication date
Monday, 17.04.2017

Authors
Gaidar Institute, RANEPA, RFTA composite author

Series
Monitoring of Russia’s Economic Outlook

Annotation

Main topics of the issue: Why the RF Central Bank pursues a cautious policy; Bank liabilities are on the rise due to increasing individual deposits; The Russian industry in 2015-2016: was there any crisis?; Risks of the new stage of the reform of budgetfunded entities.

Contents

Main trends and conclusions (V.Gurevich) 3
1. Why the RF Central Bank pursues a cautious policy (A.Bozhechkova, P.?Trunin) 7
2. Bank liabilities are on the rise due to increasing individual deposits (M.Khromov) 10
3. The Russian industry in 2015-2016: was there any crisis? (S.Tsukhlo) 13
4. Risks of the new stage of the reform of budgetfunded entities (A.Zolotareva) 18
Authors 21

Notes

Monitoring has been written by experts of Gaidar Institute for Economic Policy (Gaidar Institute), Russian Presidental Academy of Natonal Economy and Public Administration (RANEPA) and Russian Foreign Trade Academy of the Ministry of Economic Development of Russia.

Editorial board: Sergey Drobyshevsky, Pavel Kadochnikov, Vladimir Mau and Sergey Sinelnikov-Murylev.

Editors: Vladimir Gurevich and Andrei Kolesnikov.

Full version
/files/RePEc/gai/mreoen/mreoen-2017-6-825.pdf

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