Risks of investing in the Russian stock market: Lessons of the first decade
Alexei Goriaev and
Alexei Zabotkin ()
No w0077, Working Papers from Center for Economic and Financial Research (CEFIR)
Abstract:
The modern history of the Russian stock market has mirrored ups and downs of the country’s transition as well as swings in investor perceptions. In this paper, we describe the evolution of the Russian stock market over its first decade, with particular attention to the risk factors driving stock returns. First, we analyze the development of the institutional infrastructure and dynamics of the market’s size and liquidity measured by the number of listed and traded stocks, depositary receipts and IPOs as well as trading volume in the local stock exchanges and abroad. Then, we examine major political and economic events, which influenced the investor perceptions of the country risk and were reflected in stock prices. Finally, we carry out quantitative analysis of risk factors explaining considerable time and cross-sectional variation in Russian stock returns. We document a significant role of corporate governance, political risk, and macroeconomic risk factors, such as global equity markets performance, oil prices, and exchange rates, whose relative importance varied a lot over time.
Keywords: financial institutions; risk factors; Russian stock market (search for similar items in EconPapers)
Pages: 27 pages
Date: 2006-08
New Economics Papers: this item is included in nep-cis, nep-fmk, nep-rmg and nep-tra
References: View references in EconPapers View complete reference list from CitEc
Citations: View citations in EconPapers (37)
Downloads: (external link)
http://www.cefir.ru/papers/WP77Goriaev_Zabotkin.pdf (application/pdf)
Our link check indicates that this URL is bad, the error code is: 404 Not Found (http://www.cefir.ru/papers/WP77Goriaev_Zabotkin.pdf [302 Moved Temporarily]--> https://www.nes.ru/files/Preprints-resh/WP77Goriaev_Zabotkin.pdf)
Related works:
Journal Article: Risks of investing in the Russian stock market: Lessons of the first decade (2006) 
Working Paper: Risks of investing in the Russian stock market: Lessons of the first decade (2006) 
This item may be available elsewhere in EconPapers: Search for items with the same title.
Export reference: BibTeX
RIS (EndNote, ProCite, RefMan)
HTML/Text
Persistent link: https://EconPapers.repec.org/RePEc:cfr:cefirw:w0077
Access Statistics for this paper
More papers in Working Papers from Center for Economic and Financial Research (CEFIR) Contact information at EDIRC.
Bibliographic data for series maintained by Julia Babich ().