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Igor V. Belyakov

Personal Details

First Name:Igor
Middle Name:V.
Last Name:Belyakov
Suffix:
RePEc Short-ID:pbe1190

Affiliation

(50%) Financial Research Institute
Ministry of Finance
Government of the Russian Federation

Moscow, Russia
https://www.nifi.ru/
RePEc:edi:frigvru (more details at EDIRC)

(50%) Экономическая экспертная группа (Economic Expert Group)

http://eeg.ru/
Russia, Moscow

Research output

as
Jump to: Articles

Articles

  1. Igor V. Belyakov, 2017. "Monitoring and Analysis of Contingent Budget Liabilities to Financial System," Finansovyj žhurnal — Financial Journal, Financial Research Institute, Moscow 125375, Russia, issue 4, pages 71-84, August.
  2. Belyakov, Igor (Беляков, Игорь), 2017. "On the Determinants of Sovereign Eurobond Spreads in Russia [О Факторах, Определяющих Спрэды Суверенных Еврооблигаций России]," Ekonomicheskaya Politika / Economic Policy, Russian Presidential Academy of National Economy and Public Administration, vol. 1, pages 200-225, February.
  3. Igor V. Belyakov, 2017. "Prospects of Demand for Russia’s Ruble-Denominated Debt," Finansovyj žhurnal — Financial Journal, Financial Research Institute, Moscow 125375, Russia, issue 1, pages 39-51, February.
  4. Igor V. Belyakov, 2015. "On Fiscal Costs of Banking Crises," Finansovyj žhurnal — Financial Journal, Financial Research Institute, Moscow 125375, Russia, issue 5, pages 45-58, October.
    RePEc:nos:voprec:2007-03-7 is not listed on IDEAS
    RePEc:nos:voprec:2015-09-1 is not listed on IDEAS

Citations

Many of the citations below have been collected in an experimental project, CitEc, where a more detailed citation analysis can be found. These are citations from works listed in RePEc that could be analyzed mechanically. So far, only a minority of all works could be analyzed. See under "Corrections" how you can help improve the citation analysis.

Articles

  1. Igor V. Belyakov, 2017. "Monitoring and Analysis of Contingent Budget Liabilities to Financial System," Finansovyj žhurnal — Financial Journal, Financial Research Institute, Moscow 125375, Russia, issue 4, pages 71-84, August.

    Cited by:

    1. Antonina S. Kovalevskaya & Svetlana I. Nikulina, 2018. "Government Guarantees as an Instrument for Investment Risk Allocation," Finansovyj žhurnal — Financial Journal, Financial Research Institute, Moscow 125375, Russia, issue 5, pages 23-33, October.

  2. Belyakov, Igor (Беляков, Игорь), 2017. "On the Determinants of Sovereign Eurobond Spreads in Russia [О Факторах, Определяющих Спрэды Суверенных Еврооблигаций России]," Ekonomicheskaya Politika / Economic Policy, Russian Presidential Academy of National Economy and Public Administration, vol. 1, pages 200-225, February.

    Cited by:

    1. Andrey V. Korytin, 2020. "Tax Burden Influence on the Foreign Direct Investment Distribution by Economic Industries," Finansovyj žhurnal — Financial Journal, Financial Research Institute, Moscow 125375, Russia, issue 1, pages 68-86, February.

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Co-authorship network on CollEc

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