UDC 336.1
DOI: 10.36871/u.i.k.2024.12.01.006

Authors

Saveliy A. Khodzhaev,
Vyatka state University, Kirov, Russia

Abstract

The article analyzes the Chinese experience in diagnosing the stress resistance of the region’s financial system. The main approaches and methodological techniques used by Chinese scientists are identified. Based on the analysis, principles for diagnosing the risks of stress resistance of the financial system of the region, involved in Chinese studies, were formed. The prospects for adapting the studied experience to the diagnosis of financial systems of Russian regions are assessed.

Keywords

stress resistance of the financial system, indicators, Chinese economic system, regions, methods.