Problems of Developing Methodology for Assessing and
Strengthening Stress Resistance of the Russian Economy
V. M. Bezdenezhnykh and V. I. Prasolov
Department of economic security and risk-management, Financial University under Government of the Russian Federation,
Moscow
Keywords: Stress resistance, complex socio-economic system, assessment of the level of stress resistance, economic
security, risk management system, formation of a stress management system.
Abstract: Currently, the economic and management concept of stress resistance is absent as a methodological model in
academic analysis and in management practice. This is accompanied by the lack of Russian scientific activity
in the articulation of stress resistance in the discourse of national risk-oriented management, while at the level
of individual economic entities (for example, financial and credit institutions), stress testing is used quite
actively in order to strengthen the stability of organizations. It is necessary to develop a unified interpretation
(since this is, to a large extent, a conventional form) of the Russian-language concept of resilience, as well as
to determine the main directions of scientific study of this problem.
1 INTRODUCTION
Over the past 20 years, we have become accustomed
to the constant crisis phenomena in our lives and in
general have learned to live in such a reality,
monitoring oil and currency rates, political events and
hedging various risks. The COVID-19 pandemic has
become a new experience for the global economy. It
is unlikely that in 2018-2019, someone assumed that
2020 would be held under the banner of a global
pandemic, which would lead to a significant drop-in
business activity in Russia and the world's largest
economies, an increase in the costs caused by it, while
at the same time losing income at all levels. The
current situation has shown the importance of a
scenario approach in planning and budgeting,
including those that we do not expect to be likely. The
correct construction of stress forecasts at the same
time becomes an important business task (Palmer,
2013; Trofimov, 2021).
When conducting discussions on global and
regional problems of practical application of
measures to strengthen the stress resistance of large
socio-economic systems, wide interest was noted by
such leading international organizations as the UN,
OECD (Organization for Economic Cooperation and
Development), IMF, IEF in Davos (Switzerland),
regional economic organizations. Back in 2016, the
European Union discussed and adopted a program of
strengthening resilience (stress resistance) as the
basis for the idea of a global strategy in its foreign
policy and ensuring security in Europe.
The concept of resistance to stress at the level of
complex socio-economic systems has only become
more and more diversely used in the research and
practice of organizations at various levels (mainly
large systems) in the last 12-15 years. Stress
(sometimes the term shock borrowed from medical
practice is used) is usually considered the impact on
complex multilevel economic systems of unlikely,
but very significant in terms of consequences,
manifestations of shock threats and risks. The
expanding practice of consulting and expert activities,
especially in the credit and banking sector, has
gradually consolidated the term stress resistance of a
complex system in the field of risk management as an
element of overall management of an organization
(Trofimov, 2021). In economics, in addition to the
early stages of ecology, such works have found
application, first of all, in the financial and credit
sphere (they have become mandatory), there are some
examples of research on food stress resistance of the
national economy, energy stress resistance, fire stress
resistance and in a number of other areas of economy
(Blaschke, 2001).
A noticeable and quite independent distribution of
the system of measures to strengthen stress resistance
Bezdenezhnykh, V. and Prasolov, V.
Problems of Developing Methodology for Assessing and Strengthening Stress Resistance of the Russian Economy.
DOI: 10.5220/0010695700003169
In Proceedings of the International Scientific-Practical Conference "Ensuring the Stability and Security of Socio-Economic Systems: Overcoming the Threats of the Crisis Space" (SES 2021),
pages 161-164
ISBN: 978-989-758-546-3
Copyright
c
2022 by SCITEPRESS Science and Technology Publications, Lda. All rights reserved
161
was reflected in the security programs of the leading
countries of the world, the number of which grew
from year to year (UN Resolution, 2020). The basic
model of economic regulation is based on the
conformity of the basic provisions of the doctrine of
strengthening stress resistance to the concept of the
neoliberal paradigm of sustainable development.
Emphasis is placed on introducing the concept of
control parameters and determining their relationship
to the parameters of the systems controlled by them.
This model approach can be defined as a separate
stage in the development of theoretical concepts for
assessing the stress resistance of complex systems as
a mechanism for regulating the stability of the
development of complex socio-economic systems.
The next step in the development of assessment
models of stress tolerance in anti-stress management
was forward and backward modeling as a task
focused on the vulnerability of regulatory systems for
their growth trajectory. Such practice of specifying
evaluation vectors as a certain kind of rationalization,
when literally executed, can lead to a reduction in
control actions, a reduction in the horizon of control
forecasting. This is confirmed in some of today's
decisions by leading Western states. Management of
a complex system ceases to be an end in itself for the
work of the management system, and state interests
come into conflict with the practice of choosing
directions and development goals that do not
contribute to strengthening its stress resistance
(Romanova, 2017). New model approaches are
needed that are more consistent with the modern
practice of making and implementing control
decisions to strengthen the stability of complex open
multilevel systems (Henry J., Kok C., (2017).
2 MATERIALS AND METHODS
Currently, the concept of resilience (resilience
vitality, flexibility or pliability) is absent as a
theoretically and methodologically grounded and
economic and management model in academic
analysis and in practice. This is manifested in the
unsettled, in terminological terms, scientific practice
of interpreting stress resistance as a mechanism, as a
model of risk-oriented management, a system of
relations or the state of a complex multi-level system.
At the same time, at the level of individual economic
entities (for example, financial and credit
organizations), stress testing in order to strengthen the
stability of organizations is used quite actively and
gives useful results. In our opinion, it is necessary to
develop a unified interpretation (since this is, to a
large extent, a conventional form) of the Russian-
language concept of resilience. Existing international
practices of interpretation (see, for example, the
Sendai UN Program on Disaster Risk Reduction),
offer a translation of the term resilience into Russian
as “resilience potential”. But this, at least, requires
discussion and clarification. In UN documents, you
can find the concept of "resilience" as a term that has
the meaning of flexible (regulated) resilience of a
complex socio-economic system to external serious
influences and threats that bring great changes in the
economy and society (UN Resolution, 2020). In this
respect, this understanding approaches the
interpretation of the stability and safety of the system.
In the Russian practice of regulating the development
of complex socio-economic systems, the main
mechanism for ensuring economic security,
according to the «Strategy for ensuring the economic
security of Russia until 2030» (clause 24) is a risk
management system (RMS). With this approach,
counteracting stresses and shocks is part of the RMS,
but it considers that part of risk management that
includes unlikely risks, but that can cause serious
large-scale consequences of various nature
(Romanova, 2017). This approach is currently being
implemented everywhere in stress testing in financial
and credit institutions for quite a long time.
At the same time, not only financial and economic
factors, but also other factors that are becoming more
and more significant, have an increasingly noticeable
effect on the state and behavior of the economy.
Among them, we should note the increasingly acute
problems of social development, infrastructural
changes, regional imbalance, resource provision,
information security of the system, powerful natural
disasters and others, which are also manifested in the
economic sphere. Each of them individually
contributes to the violation of systemic stability, but
their interconnected manifestation can now critically
change the situation and seriously affect the security
of the economy and society, along with financial or
economic issues.
3 RESULTS AND DISCUSSION
These problems have not yet been studied either in
scientific-methodological and applied terms, the need
for their comprehensive scientific understanding is
becoming more and more obvious. In a difficult
environment of instability in the global context,
Russia prioritizes its development in the formation of
an independent vector of counteraction to attempts to
dominate Western countries (USA, Europe), which
SES 2021 - INTERNATIONAL SCIENTIFIC-PRACTICAL CONFERENCE "ENSURING THE STABILITY AND SECURITY OF
SOCIO - ECONOMIC SYSTEMS: OVERCOMING THE THREATS OF THE CRISIS SPACE"
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limits the possibilities of its participation in the
discussion of the problems of assessing the stress
resistance of world processes, as well as Russia's
possible participation in managing these processes at
the national and regional levels. All of the above
determined the task of a more detailed study of the
issues of the methodology of anti-stress regulation of
the country's economy. It is possible to outline several
directions for conducting research in this area in the
context of ensuring the economic security of the
country, the formation of a methodology and the
development of mechanisms for strengthening the
stress resistance of the economy for its stable long-
term socially-oriented development. To accomplish
this task, it is necessary to investigate issues such as:
the state and evolution of the existing
theoretical and methodological approaches to
the study of the problems of ensuring ES on the
basis of strengthening its stress resistance,
taking into account the impact of growing
shock threats (Bezdenezhnykh and other,
2020);
assessment of the possible consequences of the
transformation of traditional and new shock
threats to the economic security of the
development of the Russian economy
(Avdiyskiy, Bezdenezhnykh, 2018);
systematization of the conceptual apparatus of
the methodology for assessing stress resistance
of complex socio-economic systems and
characterize the main models of stress
resistance in modern discourses of
management;
methods for conducting a comparative socio-
economic analysis of complicated systems
stress tolerance models using the example of
American, Western European and Russian
management approaches and identifying trends
in their evolution;
substantiation of the need to identify
mechanisms for strengthening the stress
resistance of organizations as an important
direction in ensuring the economic security of
complex systems (Gibson, 2012);
analysis of the most important features of the
structure of the formation of stress resistance of
the national economy and assessment of
possible prospects for its strengthening;
determination of the foundations and principles
of the conceptual methodological complex for
the development of stress resistance of complex
systems and the allocation of priority areas for
ensuring the economic security of Russia on the
basis of strengthening its stress resistance
(Avdiyskiy, Bezdenezhnykh, 2018);
development within the framework of the G20,
BRICS and other supranational associations of
an alternative model of SSEC stress resistance
that meets the interests of the world community
and modern development trends in opposition
to the pressure exerted by Western countries in
supranational regulation.
4 CONCLUSIONS
The problems of the model of anti-stress regulation of
complex multi-level socio-economic systems have
not yet been studied either in scientific-
methodological or applied terms. This determines the
need for their comprehensive scientific understanding
of these issues, which is becoming an increasingly
obvious task.
All of the above puts forward the priority task of
a more detailed study of the issues of methodology
for assessing and ensuring anti-stress regulation of the
country's economy. The article outlines several main
directions of research in this area in the context of
ensuring the country's economic security, forming a
methodology and developing mechanisms for
strengthening the stress resistance of the economy for
its stable long-term socially-oriented development.
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