Upravlenie
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Published By State University Of Management

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Upravlenie ◽  
2022 ◽  
Vol 9 (4) ◽  
pp. 112-120
Author(s):  
L. V. Tcerkasevich ◽  
E. A. Makarenko

The article analyses the global social risks related to the expansion of information technologies, mass digitalisation, and the accessibility of sources of all information. The possibility of risky situations arising in different areas of society under postmodern conditions has been demonstrated. This is due to the massive spread of information and Internet technology, global changes in the structure of values of modern society, and the reassessment of a number of historical events and characters by some social groups. The focus is on the destruction of traditional mechanisms for transmitting social experience and memory and the transformation of perceptions of history through the use of virtual forms of communication. A different, own interpretation of historical events, the liberation of historical knowledge from politicisation and mythologisation can lead to risks of distortion of historical memory and even to conflicting situations of interpretation of the past. Case studies show that this, in turn, can lead to a set of risks in the economic sphere, for example: the risk of a situation of global redistribution of economic resources, the risk of losing the source of legitimacy of an economic resource, the risk of loss the reputation of a memory entity. These processes negatively affect social stability in society and distort the integrity of historical memory.Particular attention is paid to the topic of cognitive transformation risk related to the mass use of virtual media in the educational process. On the one hand, they are an effective teaching tool based on rapid search, transformation and storage of learning information. But, on the other hand, practice shows that knowledge loses its consistency and becomes “mosaic”, “clichéd”. The consequences of these processes are of a lasting nature and require further in-depth study by the scientific community, including psychologists, educators, and sociologists.


Upravlenie ◽  
2022 ◽  
Vol 9 (4) ◽  
pp. 100-111
Author(s):  
A. S. Issenov

The article studies the strategic directions of the Eurasian Development Bank as an important element of the institutional structure of the global green finance market.The current differentiated global structure of green finance market institutions has been shown, and the substantive focus of organisations at two levels of the institutional structure of this market has been shown. A statistical overview of green finance institutions by country, region, type and financial instruments used has been made. The role of multilateral development banks in the structure of such institutions has been shown. The need for the formation of institutions in the green financial market segment as a necessary element of green finance has been substantiated.The structure of institutions on two levels has been given: 1) subjects – participants of the green bond market; 2) a set of institutions developing and shaping the methodology for green financial instruments assessment, standards, taxonomy, ratings. Using the global green bond market as an example, up-to-date statistics and analysis of the broader composition of issuers of green financial instruments by country, world region, sovereign and corporate participants, and development institutions have been presented. Emphasis has been placed on public issuers and the participation of multilateral development institutions in financing green economy projects in various countries. The experience of Eurasian Economic Union countries in developing green finance has been summarised and the prospects for Russia and Kazakhstan in the green finance movement have been noted.The institutions of the differentiated structure of the global green finance market identified in the study have been grouped into two levels depending on the profile of their participation in the green economy; the directions and tools for the prospective development of the Eurasian Development Bank’s green finance activities have been defined; recommendations for prospective aspects of the methodological and analytical activities of the bank in the context of the Eurasian Development Bank Strategy 2022–2026 have been proposed.The study applied an analysis of scientific literature in the field of institutional theory, green economy and green finance, statistical, comparative, factual analysis, review and analysis of information from official websites of international development institutions, government and corporate entities, international rating agencies included in the architecture of the global green finance market.


Upravlenie ◽  
2022 ◽  
Vol 9 (4) ◽  
pp. 75-87
Author(s):  
M. Yu. Dyakov

The article presents the results of an analysis of the possibilities for the transition of the region’s economy to a circular economic model. According to the aim of this article the main economic activities and tools for making such a transition in Kamchatka Territory have been identified. The principles of the circular economy and its advantages over the traditional “linear” model have been analysed. On the example of the Kamchatka Territory, the preconditions and prospects for the region’s transition to a circular economy model in terms of the existing structure of production of goods and services have been analysed. Using MS Excel tools, the structure of the gross regional product has been analysed, according to the results of which the main economic activities that are promising for the transition to a circular model have been identified. Regional indicators for waste recycling and neutralisation have been analysed, and chain coefficients have been calculated for growth in the share of recycled and neutralised waste for Russia as a whole, for the Far Eastern Federal District and Kamchatka Territory. Based on the results of the calculation, it has been concluded that the coefficient values for the Kamchatka Territory lag behind those for the whole of Russia and the Far Eastern Federal District. A number of financial and economic, technological, legal and informational tools have been identified, the use of which makes it possible to implement the transition to a circular economic model. Fisheries, energy, tourism, recycling and waste management have been identified as the most promising economic activities for such a transition. The findings conclude that it is important to continue research into the various aspects of the transition to a circular economy, as well as continued coordinated efforts are needed to implement it.


Upravlenie ◽  
2022 ◽  
Vol 9 (4) ◽  
pp. 139-148
Author(s):  
F. F. Sharipov ◽  
М. A. Dyakonova

The age-old struggle for influence in Asia, intensified in recent decades, has gained a new player in the form of dynamic China, one of the leaders of world politics and the economy of today. The authors draw on the opinions of foreign and domestic experts to determine the reasons for the involvement and role of the People’s Republic of China (PRC) in resolving the conflict in the Islamic Republic of Afghanistan (IRA) and to link these activities to China’s renewed strategy in the Middle East as a whole. The research done by the authors over the last six months has developed rapidly in recent weeks and even days, indicating that geopolitical turbulence is developing in recent times.The article classifies the full range of the People’s Republic of China interests in the Islamic Republic of Afghanistan and identifies the factors that influence the formation of China’s system of interests in Afghanistan, including factors in the international environment. The consequences of the pandemic and China’s new opportunities to use soft power to advance its interests have been identified. The People’s Republic of China’s strategy in the region has been defined and attention has been paid to security issues.Beijing’s envisaged steps to promote its projects in the region have been presented.


Upravlenie ◽  
2022 ◽  
Vol 9 (4) ◽  
pp. 121-138
Author(s):  
A. D. Lisenkova

The subject of the study is the involvement of political parties in multi-level environmental governance in the European Union, using Germany and its federal states as an example. This article describes the theoretical and practical foundations of multi-level governance. The place of European parties and their national member parties from Germany in the institutional system and decision-making process of environmental policy has been defined. For practical illustration, the climate policy guidelines of Germany’s main national parties (the Christian Democratic Union of Germany and the Christian Social Union in Bavaria, the Social Democratic Party of Germany, the Alternative for Germany, the Free Democratic Party of Germany, the Left and the Alliance 90 / The Greens) and their European affiliations (the European People’s Party, the Party of the European Socialists, the Alliance of Liberals and Democrats for Europe, the European Green Party and the Party of European Left) were compared with an emphasis on the new targets for reducing greenhouse gas emissions. The unique opportunity for parties to participate in environmental policymaking at all key levels, which is not limited to parliamentary institutions has been highlighted. Appointments to environmental positions at different levels often correlate with membership of the most environmentally oriented parties, although the level of environmental involvement may differ between national parties and their European affiliations. Among other things, this has to do with participation in governing coalitions and dependence on a senior partner in them, as shown by the examples of the Bundestag and the Landtag of Baden-Württemberg. The final decision depends heavily on the unity of the coalition at federal and state level, whereas in the European Parliament there is a great differentiation of opinions, which allows even the most influential European People’s Party to be blocked from voting.


Upravlenie ◽  
2022 ◽  
Vol 9 (4) ◽  
pp. 88-99
Author(s):  
A. J. Bonyani

The article investigates the features of employee motivation impact on the organisation effectiveness. The purpose of the study is to clarify the theoretical foundations of motivation, improve the methodological approaches and substantiate the practical recommendations concerning the motivational mechanism development, which is one of the most important components in the chain of achieving high performance of modern business entities. Research objectives are to analyse the of employee motivation impact on the effectiveness of the organisation, identify and evaluate the relationship between the impact of the remuneration system on the results of the organisation’s activities, formulate recommendations to firms and their managers on promoting the system of motivation and remuneration of employees, that expands the effectiveness of the organisation.In the article the terminological analysis of the definition of “employee motivation” has been carried out. The relationship between employee motivation and the remuneration system with organisational efficiency has been formalised. The effectiveness of the motivation system and the employee incentive system at Iran software and hardware company (NOSA) has been evaluated using the questionnaire and expert survey method. The relationship between the productivity of the company’s personnel and the level of remuneration has been ascertained using the correlation and regression analysis. The recommendations to improve the efficiency of the labor motivation system at the NOSA enterprise have been formulated based on the obtained data.The results obtained allowed us to conclude that the interaction of motives and incentives is the tool that allows us to meet the needs of the employee in the most appropriate way for him – as a result of the realization of his abilities. Study of the motivation system at the NOSA enterprise indicates that the staff is not satisfied with the material remuneration. The company’s management during developing directions for improving the motivation program should take into account that the growth rate of labor productivity should outstrip the growth rate of its remuneration, otherwise the company’s resources will be spent inefficiently.


Upravlenie ◽  
2022 ◽  
Vol 9 (4) ◽  
pp. 30-42
Author(s):  
A. A. Golovin

One of the problems of public administration is the need to select the best criteria for assessing the quality of life of the population. The aim of the study is to provide a critical analysis of current approaches to measuring and monitoring the quality of life of the population. The object of the study is the quality of life of the population. The subject of the research is approaches to measuring and monitoring the quality of life of the population.The article provides a comparative characteristic of the prevailing classes of measures used in economics. The advantages and disadvantages of natural, monetary, physical, power, temporal, dimensionless units of quality of life have been analysed. The main foreign and domestic approaches to such monitoring have been considered and the positions of the Russian Federation in foreign ratings of the quality of life have been indicated. Using the methods of content analysis, comparison, systems analysis, expert assessment, etc., the features of contemporary quality of life assessment tools have been highlighted. Global, subnational and national quality of life assessment methods in relation to measurement tools have been compared and a comparative analysis has been presented in a summary graph.The author’s classification of quality of life management approaches has been presented. Historical and economic analysis allows us to distinguish between the monetarist approach, the social justice approach, and the physico-economic approach. Monetary methods of managing the quality of life of the population are based on financial and economic factors and monetary measurement tools, the social justice approach is based on the study of socio-psychological factors and life satisfaction indicators, the physical and economic approach reconciles the needs of the socio-economic system with the capabilities of the natural environment and uses power units of measurement. Foreign research in recent years has been dominated by subjective (socio-psychological) measurement methods, whereas in Russian research objective measurement indicators still play a major role in monitoring quality of life.The article offers recommendations for developing an improved methodology for assessing the quality of life of the population using social time.


Upravlenie ◽  
2022 ◽  
Vol 9 (4) ◽  
pp. 65-74
Author(s):  
O. E. Astafyeva

The article considers the methodology of business process development in the digital business transformation. The aim of the study was to determine the dependence of sustainable enterprise development on the organisation of stakeholder engagement in the context of the digital ecosystem and the organisation of effective digital asset management.Taking into account the aim of the study, the main objectives are to study international experience of managing business development in digital transformation, determine the impact of ecosystems on business organisation and management of business processes and sustainability, and develop recommendations for business model formation and its alignment with the ecosystem market needs.The study resulted in the development of a sustainability framework in the digital ecosystem and proposals for digital ecosystem configurations that focus on giving and generating “value” when applying new ways and methods of “platform” interaction in the digital economy. Sustainability in digital transformation and ecosystematic business organisation depends on how digital assets are managed and approaches used to resource management. This process requires consideration of the methodology for business process development and research into changes in the external environment, identifying the possibility of integrating actors into the digital ecosystem development processes and defining tools for business process management.


Upravlenie ◽  
2022 ◽  
Vol 9 (4) ◽  
pp. 5-29
Author(s):  
M. S. Andreykina ◽  
D. L. Morozova

The article analyses current public management and funding practices of cultural organisations in Italy by using comparative and statistical analysis. The structure of the sector’s governing bodies and approaches to budgeting for culture at national level have been explored. Trends in decreasing funding from provincial, regional and local budgets have been identified. The status, legislative and institutional conditions for the emergence of Italy’s unique multichannel cultural financing system have been described. An analysis of the Italian museum system’s reform has been presented. The activities of private opera foundations have been discussed in detail. The main similarities between Russian and Italian cultural policies have been described. These are the drive to expand the boundaries and activities associated with the cultural sector, the significant burden on local and regional authorities in the field of cultural heritage preservation, the “quantitative approach” and the application of financial performance indicators to assess cultural organisations performance.The article’s scientific novelty lies in the complex approach to the study of Italian cultural policy using the criteria proposed by D. Montias and A. I. Glagolev, and in the study of the activities of Italian opera foundations and museums, which had not previously been sufficiently covered in the Russian and foreign literature. The prospect of the topic, the practical significance and relevance of the research are due to the need to implement regulations in Russia which set a course for the creation of a multi-channel system of funding and a broad understanding of the cultural sector, and ensuring inter-agency and inter-regional cooperation between the authorities in the implementation of cultural policy.The article analyses a wide range of financial support mechanisms for culture, most of which are named in the “Strategy of State Cultural Policy of Russia as Targets by 2030”, while Italy has accumulated considerable experience in this area for several decades.


Upravlenie ◽  
2022 ◽  
Vol 9 (4) ◽  
pp. 43-50
Author(s):  
Tu Thi Thoa

Building the rule of law state (referred to as the rule of law) is an objective trend for democratic countries in the modern world, including Vietnam. Thoughts about the rule of law in Vietnam, related to the people’s desire to have an independent state that is organised and acts in accordance with the provisions of law, represents the will and aspirations of the people, protects human rights and citizens’ rights under law, have emerged since the early years of the 20th century. Along with the national liberation struggle, the rule of law state in Vietnam was officially established in 1945, after the victory of the August Revolution (August 19, 1945). It has its own characteristics related to the socialist political regime under the leadership of only one party – the Communist Party of Vietnam.As in many countries around the world, the promotion and expansion of democracy is one of the objectives of building the rule of law in modern Vietnam. The article clarifies some theoretical issues about the rule of law state, the rule of law ideology formation and the rule of law state characteristics in Vietnam. A number of issues that require attention when building a rule of law state to ensure democracy in modern Vietnam is considered


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