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How to Improve Energy Investments in Russia

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Sustainability in Energy Business and Finance

Part of the book series: Contributions to Finance and Accounting ((CFA))

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Abstract

Insufficient supervision of banks participating in the system, as well as new banks allowed to participate in the system. At first glance, the selection criteria for banks to participate in the energy risk insurance system are quite strict, and the verification of banks is quite thorough. But, judging by the results of statistics, after some time, banks that were initially recognized as financially stable and successfully developing in order to participate in the system are recognized as insolvent. The reason why this is happening is obvious, the supervision was not strict enough. This problem is undoubtedly serious and needs to be solved, since without this, there are many banks that are undergoing the process of rehabilitation or liquidation. The presence of such an additional problem leads not so much to the replenishment of the Mandatory Energy Risk Insurance Fund by new participating banks, but to the cost of paying insurance indemnities. Naturally, all the problems listed above are far from the only ones, but they belong to the main and, in principle, generalizing ones. Based on the information presented in this chapter, it can be concluded that the insurance system that operates in our country today, almost in its original form, is already beginning to lose its relevance, as rapid changes in the insurance market are taking place, what is happening in the economy requires the same rapid response in the form of improving the energy risk insurance system and adapting it to new conditions.

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Ibragimova, E., Danish, M.S.S. (2022). How to Improve Energy Investments in Russia. In: Dinçer, H., Yüksel, S. (eds) Sustainability in Energy Business and Finance. Contributions to Finance and Accounting. Springer, Cham. https://doi.org/10.1007/978-3-030-94051-5_12

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