МЕТОД РЕФЛЕКСИВНОГО ОЦЕНИВАНИЯ ВЗАИМОДЕЙСТВИЯ ФАКТОРОВ ДЕНЕЖНО-КРЕДИТНОЙ ПОЛИТИКИ

2013 
Work examines the problem of the analysis of money and credit policy taking into account many essential factors, which infl uence the objects of control, what is characteristic feature with decision making in the economicalfi nancial sphere. Purposes of the work are development and the application of procedures of the evaluation of the consequences of interactions of the factors with the use of expert data, adequate to the problem in question. In the work is proposed the new algorithm of a study of different factors, in our case of the tools of the RF Central Bank credit-money policy on the money (ruble) fi nancial market. The method of simulation proposed, which uses expert data, makes it possible to make rational administrative decisions in the region of money and credit regulation taking into account the system effect from interaction of a large quantity of factors, to fi nd which in the manual regime is impossible. The offered method of modeling using expert approach, allows making rational administrative decisions in the fi eld of monetary and credit regulation of innovative activity taking into account system effect from interaction of a large number of factors, to trace which in a manual mode it isn’t possible. These decisions can carry both structural and operational character and are directed on a strategic objective of economic management – ensuring steady effective growth of economy.
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