Влияние девальвации на экономику и банковский сектор Азербайджана в 2015 году и в последующий период
Abstract
The economic processes taking place in the
Azerbaijani economy in 2001-2014 and in the post-2015 period have different
characteristics. Until the second half of 2014, the steady increase in oil
revenues kept the monetarous and fiscal problems in the country shadowed.
Consecutive devaluation in the next period revealed that there are problems in
the budget system and banking sector. Devalvation overcomes the increase in
income has also aggravated the social situation of the population. Closing of a
number of banks and businesses has had an impact on employment. Investigating
the causes of these issues, and defining the way out of the unfavorable
situation can help to regulate the devaluation consequences.
Keywords
References
- С. М. Мамедов «Финансовый рынок и инфляция», Баку, 1998. М. Х. Мейбуллаев «Введение в макроэкономику», Баку, 2014. Решение Центрального банка Азербайджанской Республики от 21 февраля 2015 Обзор денежной политики Центрального банка Азербайджанской Республики на 2015 и 2016 годы. Обзор финансовой стабильности Центрального банка Азербайджанской Республики за 2015 и 2016 годы. www.azstat. gov.az
Details
Primary Language
Russian
Subjects
-
Journal Section
Research Article
Authors
Orkhan Babashov
*
Azerbaijan
Publication Date
January 23, 2019
Submission Date
July 21, 2018
Acceptance Date
December 4, 2018
Published in Issue
Year 2019 Volume: 7 Number: 1