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Анализ взаимосвязи Ð¼Ð¸Ñ€Ð¾Ð²Ñ‹Ñ (Ñ„Ð¾Ð½Ð´Ð¾Ð²Ñ‹Ñ , Ð²Ð°Ð»ÑŽÑ‚Ð½Ñ‹Ñ Ð¸ Ð´Ñ€Ð°Ð³Ð¾Ñ†ÐµÐ½Ð½Ñ‹Ñ Ð¼ÐµÑ‚Ð°Ð»Ð»Ð¾Ð²) рынков в период Ð¼Ð¸Ñ€Ð¾Ð²Ñ‹Ñ ÐºÑ€Ð¸Ð·Ð¸ÑÐ¾Ð²

выпускная квалификационная работа магистра

Анализ взаимосвязи Ð¼Ð¸Ñ€Ð¾Ð²Ñ‹Ñ (Ñ„Ð¾Ð½Ð´Ð¾Ð²Ñ‹Ñ , Ð²Ð°Ð»ÑŽÑ‚Ð½Ñ‹Ñ Ð¸ Ð´Ñ€Ð°Ð³Ð¾Ñ†ÐµÐ½Ð½Ñ‹Ñ Ð¼ÐµÑ‚Ð°Ð»Ð»Ð¾Ð²) рынков в период Ð¼Ð¸Ñ€Ð¾Ð²Ñ‹Ñ ÐºÑ€Ð¸Ð·Ð¸ÑÐ¾Ð²

Abstract

Объектом исследования являются мировые кризисы за последние 20 лет. Целью выпускной̆ квалификационной̆ работы является анализ взаимосвязей мировых рынков (фондовых, валютных и драгоценных металлов) во время мировых кризисов. На основе анализа мировых кризисов, были выявлены взаимосвязи между рынками, а также было проанализировано поведение как инвесторов, так и регулирующих органов. Проанализирована волатильность таких активов как нефть марки Brent, золото, Государственные Облигации США, индекс S&P500, а также некоторые российские акции: Сбербанк, Газпром. Были проанализированы основные риски, присущи кризисам. Были разработаны меры для снижения рисков путем хеджирования. Разработаны стратегии, повышающие прибыль от сделок. Рассчитаны риски с учетом наихудшего развития ситуации. Произведен сравнительный анализ разработанных стратегий по повышению прибыльности, стратегий по понижению рисков, с классическими стратегиями по инвестированию в обыкновенные акции, а так-же в Государственные Облигации, обычно используемыми во время кризиса.

The object of the study is the world crises over the past 20 years. The purpose of the final qualifying work is to analyze the interconnection of world markets (stock, currency and precious metals) during world crises. Based on an analysis of global crises, intercommunication between the markets was identified, and the behavior of both investors and regulators was analyzed. Analyzed the volatility of such assets as Brent crude oil, gold, US Government Bonds, S&P500 index, as well as some Russian stocks: Sberbank, Gazprom. The main risks inherent in crises were analyzed. Measures have been developed to reduce risks by hedging. Developed strategies that increase profits from transactions. The risks are calculated taking into account the worst development situation. A comparative analysis of the developed strategies to improve profitability, strategies to reduce risks, with classic strategies for investing in ordinary shares, as well as in government bonds, usually used during the crisis, was made.

Keywords

анализ взаимосвязи, Ñ ÐµÐ´Ð¶Ð¸Ñ€Ð¾Ð²Ð°Ð½Ð¸Ðµ, торговля спредом, анализ рисков, кризис субстандартного кредитования, деривативы, кризис доткомов, мировые кризисы, риск-менеджмент, опционная стратегия

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selected citations
These citations are derived from selected sources.
This is an alternative to the "Influence" indicator, which also reflects the overall/total impact of an article in the research community at large, based on the underlying citation network (diachronically).
BIP!Citations provided by BIP!
popularity
This indicator reflects the "current" impact/attention (the "hype") of an article in the research community at large, based on the underlying citation network.
BIP!Popularity provided by BIP!
influence
This indicator reflects the overall/total impact of an article in the research community at large, based on the underlying citation network (diachronically).
BIP!Influence provided by BIP!
impulse
This indicator reflects the initial momentum of an article directly after its publication, based on the underlying citation network.
BIP!Impulse provided by BIP!
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Average
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