Қазақстан Республикасы Ұлттық ғылым академиясы "ҚР ҰҒА Хабаршысы" ғылыми журналының Web of Science-тің жаңаланған нұсқасы Emerging Sources Citation Index-те индекстелуге қабылданғанын хабарлайды. Бұл индекстелу барысында Clarivate Analytics компаниясы журналды одан əрі the Science Citation Index Expanded, the Social Sciences Citation Index жəне the Arts & Humanities Citation Index-ке қабылдау мəселесін қарастыруда. Web of Science зерттеушілер, авторлар, баспашылар мен мекемелерге контент тереңдігі мен сапасын ұсынады. ҚР ҰҒА Хабаршысының Emerging Sources Citation Index-ке енуі біздің қоғамдастық үшін ең өзекті жəне беделді мультидисциплинарлы контентке адалдығымызды білдіреді. НАН РК сообщает, что научный журнал «Вестник НАН РК» был принят для индексирования в Emerging Sources Citation Index, обновленной версии Web of Science. Содержание в этом индексировании находится в стадии рассмотрения компанией Clarivate Analytics для дальнейшего принятия журнала в the Science Citation Index Expanded, the Social Sciences Citation Index и the Arts & Humanities Citation Index. Web of Science предлагает качество и глубину контента для исследователей, авторов, издателей и учреждений. Включение Вестника НАН РК в Emerging Sources Citation Index демонстрирует нашу приверженность к наиболее актуальному и влиятельному мультидисциплинарному контенту для нашего сообщества.
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.
Kazakhstan has all the prerequisites for the formation of innovative potential. However, to ensure the innovative economic development of Kazakhstan, it is necessary to create favorable conditions that promote the commercialization of innovations. Otherwise, all expenditures that are currently primarily of a state nature will not have the required economic indicators. The modern theory of sustainable economic growth is based on the concept of innovation. That is why the main indicators of overall economic development depend on innovative development. The article studies the variability of a data group formed from indicators of innovative development of the economy of Kazakhstan, using one of the methods of reducing dimension as a correlation analysis. The data of 2000-2018 are analyzed, that is, for 19 years. Discusses the correlation analysis of indicators characterizing the amount of research and development costs and gross domestic product. The obtained correlation coefficients demonstrate a strong linear relationship between the selected indicat ors. The statistical analysis showed: patterns of change in the GDP of the economy internal R&D costs are almost identical, correlation-regression model of the impact of GDP on domestic R&D expenditures. That is, the number of innovatively active enterprises and internal R&D costs are interdependent variables with a close correlation. High correlation coefficients between the registration of patent applications and the grant of patents in Kazakhstan and the number of employees performing R&D. A strong but negative relationship between the number of organizations performing research and development and the rest, perhaps some organizations exist only nominally and their economic activity is minimal.
The article is devoted to the features and problems of the formation of economic mechanism for ensuring environmental safety via energy efficiency in the process sustainable development at the regional level. The focus on environmental risk, which is considered as one of the components of the environmental safety system. In modern conditions, close attention is paid to issues of finding economic mechanism in ensuring environmental safety via energy efficiency; development of directions for implementation of green strategy in the regions and countries. Features of the economic mechanism in ensuring environmental safety and energy efficiency held back in sufficient development of theoretical issues, methodological and regulatory framework. The relevance of the study lies in the fact that sustainable development analysis of the current situation, problem analysis optimization prospects play an important role in improving economic mechanisms for regulating the market for petroleum products, oil and gas industries, economic mechanisms of energy regulation, etc. There is a need, on the one hand, for quantitative assessment the probability of occurrence of processes and phenomena that reduce the quality environment, and on the other hand, quantification of possible damage from their manifestation at the regional level. The aim of the study is to elaborate the economic mechanism for ensuring environmental safety of the region. Authors conduct analysis using observations, reports and comparative official statistics; formulate original insights, which can have policy implications.
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