Financial solvency of the regions of the Russian Arctic
Monograph
Illustrations and maps
color illustrations
47 USD
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The monograph is devoted to assessing the financial solvency of the regions of the Russian Arctic by means of correlation analysis aimed at studying the forms of communication between indicators that allow us to identify general and specific features of the financial development of regions. The work selected and analyzed statistical indicators that characterize directly or indirectly the financial solvency of the regions, calculated the correlations of these indicators, taking into account their dynamics over the past fifteen years. A matrix of correlation pairs was created, the most significant of them for assessing the financial solvency of the region were identified. Comparative analysis of paired correlation coefficients for the Arctic regions made it possible to assess the relationship between certain areas of their regional development. A comprehensive analysis of the financial solvency of the Arctic territories is presented, and based on the results obtained, trajectories of regional financial development are developed, considering background conditions.