The focus of the Department for Market Analysis is the Russian economy and its key sectors,
financial markets, and the outlook for the economies and businesses of other emerging markets,
including CIS countries and Asia.
Our coverage universe includes over 60 issuers on the stock market and over 100 issuers on
the bond market from key sectors of the Russian economy (including oil & gas, petrochemicals,
metals & mining, power utilities, financials, transport, agriculture, consumer (retail trade, food
industry, real estate), telecommunications and internet) as well as sovereign and regional borrowers.
We promptly respond to the changing situation in the markets, tailoring our research
products to meet client needs – including regular overviews on the market, the economy and issuers,
as well as research reports on hot topics eliciting the strongest market demand.
Our research team consists of well-known analysts with deep expertise in their sectors and
over 10 years of experience in leading Russian and foreign investment banks, international advisory
companies and rating agencies, as well as real sector companies and ministries.
The Bank’s market analysis enjoys well-deserved authority and is widely recognized among
the investment community. In recent years, Cbonds has regularly included Gazprombank in its Top
3 rating for fixed income analysts. Analysts have also been rated by Institutional Investor and
CBonds.