| | PROBLEMS OF MODERN ECONOMICS, N 3 (55), 2015 | | ISSUES OF ECONOMIC THEORY. MACROECONOMICS | | Busheneva Yu. K. PhD student, Chair of Economic Theory and Economic Politics, St. Petersburg State University
| |
| The article compares the consequences of the financial crisis of 2008–2009 with the beginning of the new crisis in 2014, discusses the course of crisis-related phenomena and attending response measures undertaken by the Bank of Russia and the government of the Russian Federation in order to stabilize the country’s economy. In particular, the author analyzes anti-crisis measures implemented by the financial organs and their correspondence with the changed economic and political realities. The article presents a review of approaches to the evaluation of non-monetary factors that impact the inflation processes in the Russian economy, and argues that the present-day anti-crisis strategy largely repeats the steps undertaken during the 2008–2009 crisis, which signifies the lack of attention to the changed realities of the current situation | Key words: crisis, inflation, economic growth, monetary mass, real sector, the Bank of Russia, monetary and credit politics | Pages: 119 - 122 |
|
| |
|
|
|