The article deals with the problems of the development of the securities market of the Republic of Armenia. The main changes that have occurred in recent years in the securities market in the Republic of Armenia have been investigated. Methods for analyzing the securities market of the Republic of Armenia are proposed. The indicators of the securities market are considered and the main trends of its development are revealed. This article presents the structure of the securities market of the Republic of Armenia in terms of trading volume. We chose the macroeconomic analysis as a method of our research, as it constitutes an integral element for the fundamental analysis of the securities market. With the help of the macroeconomic analysis an investor effects vigilance and analyses of the basic economic indicators; thus he also defines the extent of their influence on the securities market dynamic. It is the macroeconomic analysis that provides investors with the possibility to define which element of the financial market (securities, currency, credit) is currently the most profitable and attractive for to invest into.
This is an Open Access article distributed under the terms of the Creative Commons Attribution-Noncommercial 4.0 Unported License, permitting all non-commercial use, distribution, and reproduction in any medium, provided the original work is properly cited.
The development of global and regional energy markets is one of the most important problems of the current state of global economic relations and is one of the highest-priority areas in the formation of national and regional strategies for the socio-economic development of any country. The role of energy supply is focused on monitoring and compliance with standards. However, in recent years, the importance of energy supply to the housing stock has increased significantly, which has led to an expansion of the role of management within the framework of the risk management function. Kazakhstan has a Unified electric power system, which is represented by a set of power stations, transmission lines, and substations that provide reliable and high-quality energy supply to consumers. Currently, the main task within the framework of the priority of the development of Kazakhstan’s energy sector is to build up the energy base and provide the growing needs of the population and the economy with the necessary energy resources based on the development of modern energy complexes and alternative energy sources in conjunction with the implemented and planned macroprojects. Since the current economic development of Kazakhstan is closely interrelated with the realization of energy resources and their effective use, it acts as one of the fundamental levers for the development of the national economy. According to our research goal, it is necessary to consider sustainable energy supply in the country based on the analysis and assessment of energy consumption volumes and the impact of the country’s regional and sectoral policies on their use. The author’s approach to the distribution of countries by MNC has been developed and estimates of regression parameters, correlation coefficients, and elasticity coefficients. When constructing the author’s approach, the countries of Europe and Central Asia were studied and a sample of estimates was carried out, which has statistically significant effects on the formation of energy consumption volumes in the Republic of Kazakhstan.
The article is devoted to the study of a relevant scientific and practical problem – multi-level transformation processes in the economy. The purpose of the article is to study theoretical approaches to transformation processes in the reproduction of technologies
В условиях развития финансовых институтов актуально стоит проблема изучения трансформации формы института коллективного инвестирования под воздействием цифровизации, а также криптовалют, в частности. Предмет исследования — особенности функционирования ICO как трансформации финансового института коллективного инвестирования. Цель — исследовать ICO как новую форму коллективного инвестирования. Результаты исследования достигнуты через проведение глубокого сравнительного анализа ICO и IPO как инструмента финансовых институтов. Выделены преимущества и недостатки, определены факторы, проведен анализ институционального регулирования ICO, предложены векторы развития в трех плоскостях: для создателей проектов, инвесторов, регуляторов. Результаты могут быть использованы при разработке законов, функционировании платформ совместного инвестирования, при подготовке специалистов в области цифровой экономики и финансовых рынков.
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