Issues of Corporate Management in the Main Directions of Development of the Financial Market of the Russian Federation for the Period 2019–2021
Alexander A. MetzgerYear: 2018
UDK: 336
Pages: 6-16
Language: russian
Section: Economics
Keywords: financial market, corporate governance, corporate governance model, financial intermediaries, commercial banks, insurance companies, investment funds, management companies, investors, qualified investors, unqualified investors, agency problem, transaction costs.
Abstract
The main directions of development of the financial market of the Russian Federation, developed by the Bank of Russia for the period 2019–2021, are considered from the point of view of corporate governance issues. The development of corporate governance is assessed as one of the elements of building mutual trust of market participants. There is a hypothesis about the expediency of consideration of corporate governance not only within the framework of classical joint-stock companies, but also for other forms of accumulation of funds of market participants (commercial banks, insurance companies, investment funds). The special importance of effective corporate governance models development for the investment industry is noted.