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Will Margin Trading in Russia Increasing Volatility and Instability of the Russian Stock Markets?
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This 47 page paper assesses the potential impact of margin trading on the Russian stock markets. The paper gives an introduction with aims and objectives and the research methodology based on examining existing literature and models and applying them to modern Russia. An in-depth literature review examines the concept of margin trading and the different theories regarding its impact on the volatility of stock markets. The paper goes on to examine the development of the investment environment within Russia in order to determine the types of investors which at present within the market to facilitate the application of margin trading theories to this developing market. The paper finishes with a conclusion arguing that margin trading is likely to have a negative effect on the Russian stock markets due to the investment culture, stock market pressures and general trading patterns which are already present with in the stock market. The bibliography cites 34 sources.
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Pages:
47
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Filename:TS14_TEmargintr.rtf |
Paper Title:
Will Margin Trading in Russia Increasing Volatility and Instability of the Russian Stock Markets?
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