| Financial market is one of the main parts of Russian’s economy system.It plays an important role in whole economic development.Nowadays,financial market in Russia encountered some issues,which were brought by Western countries as the result of sanctions towards Russian Federation.After actions which Russia took during the Ukrainian crisis in 2014,financial market in Russia encountered serious obstacles and it still facing the consequences of geopolitical conflict.The influence which was brought my financial market issues to Russian economical and financial system is really serious.In order to take proper anti-crisis measures,it is necessary to understand which reasons brought Russian financial market to such issues.This dissertation analyzes Russia’s financial market modern condition,researches financial market main issues which exist nowadays and its key reasons.Last chapter makes research of retaliatory measures which Russia takes against financial crisis.The first chapter makes analysis of Russian and foreign researches about financial market situation and describes the structure of work.The second part of dissertation makes research of financial market issues which exist in Russia nowadays and describes the condition of financial market;the third part of dissertation makes analysis of financial market issues key reasons;after all,the last chapter of this dissertation describes measures which were taken by Russia to cope with existing financial and economical crisis.Through data analysis that we have made in this dissertation,we have the conclusion that Russian financial market issues has changed since USSR times and there are a lot of problems existing.It means Russia has to take really strong measures in order to prevent the development of Russian financial market issues in a more serious way. |