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The Russian Corporation

机译:俄罗斯公司

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摘要

The article considers behavior patterns of Russian firms before and during the financial crisis of 2008-9. Three main groups of actors in the Russian economy are defined at the firm level: large politically connected companies; mid-size firms that have grown in the 2000s decade with administrative support; successful mid-size firms that have expanded using market factors. Explanations are given for overly risky financial policy and decreased efficiency of large companies before the crisis. Forms of opportunistic behavior of managers and owners of Russian companies during the crisis are analyzed. Some policy implications (focusing on the support of successful mid-size firms driven by market factors) are proposed.
机译:本文考虑了俄罗斯企业在2008-9年金融危机之前和期间的行为模式。在企业层面上,俄罗斯经济中的三个主要参与者定义为:具有政治联系的大型公司;在行政支持下于2000年代发展壮大的中型企业;成功利用市场因素进行扩张的中型企业。给出了在危机之前风险过大的财务政策和大公司效率下降的解释。分析了危机期间俄罗斯公司经理和所有者的机会主义行为形式。提出了一些政策含义(集中于受市场因素驱动的成功的中型企业的支持)。

著录项

  • 来源
    《Problems of Economic Transition》 |2009年第6期|63-75|共13页
  • 作者单位

    Institute for Enterprise and Market Analysis at the State University-Higher School of Education;

    Interdepartmental Analytic Center;

    Economic Sciences, Federal Financial Markets Service of Russia Stock Market Development Center;

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