ABSTRACT

This book provides a comprehensive overview of Russia’s difficult economic transition from a command economy since the early 1990s.  It covers the financial crisis of August 1998 and the global financial crisis a decade later.  Key subjects covered include economic transition, privatization and liberalization; changes in land ownership and agriculture; energy; foreign direct investment; economic stabilization; and economic performance.  Russia is well endowed with raw materials, especially oil and natural gas; this book argues that in some ways this has not helped Russia’s attempts to become a more diversified and high-tech economy.

Overall, the book demonstrates how much the Russian economy has changed in the period. It continues - and adds to – the overview of developments in the author’s The New Russia (2002), and is the companion volume to Political Developments in Contemporary Russia (2011) - both published by Routledge.

chapter |1 pages

Introduction and summary

chapter |2 pages

Economic transition

chapter |46 pages

Liberalization

chapter |27 pages

Agriculture

chapter |49 pages

Direct foreign investment

chapter |128 pages

Macroeconomic stabilization

chapter |32 pages

Economic performance