Risk in systemically important banks of Ukraine
Characteristic manifestations of systemic risk in the banking sector, including its impact on activities of systemically important banks. The list of systemically important banks in Ukraine in several ways. Proposals to reduce systemic risk in the Bank.
Подобные документы
The current state, perspectives and directions for improving property taxation in Ukraine, taking into account foreign experience and correcting one's own mistakes. Basic practical recommendations and ideas for improving property taxation in Ukraine.
статья, добавлен 22.07.2022Establishment of evaluation mechanisms in the public sector of Georgia as an important element in support of the current reform of public financial management. Feature of providing effective, productive and reasonable management of budgetary funds.
статья, добавлен 25.09.2020Key principles of modern global monetary policy. Ensuring sustainable development of the Ukrainian economy in the context of martial law and further post-war recovery. Increase and stimulate credit and investment activity, strengthen price stability.
статья, добавлен 15.04.2024Investigation of shortcomings in the system of prudential supervision of the financial sector of the economy. Development of tools aimed at reducing the procyclicality of the financial system. Amortization of credit squeeze in the economy of Ukraine.
статья, добавлен 28.09.2016Analysis of the formation of budgets for Basic Territorial Entities in Ukraine and Poland. Comparison of Needs and Opportunities for Attraction of Budgetary Funds Using the Example of Environmental Tax in Ukraine. Experience in budgeting in Poland.
статья, добавлен 03.12.2020Rules for monitoring and controlling the activities of foreign companies in Ukraine. Obtaining information by tax authorities about enterprises that are part of international groups. Application of the concept of business purpose in transfer pricing.
статья, добавлен 08.01.2024The prospects of Ukraine's tax security development through its constituent mechanisms. The process of increasing the efficiency of the tax system mechanisms. The synergy effect of simultaneously improving each component of the tax security mechanism.
статья, добавлен 09.05.2018The essence of the company's tax risks from the point of view of the state and taxpayers, since they pursue opposite goals in the process of distributing the gross domestic product. The types of losses they will receive in the event of tax risks.
статья, добавлен 04.09.2023Features of the development of Kazakhstan's economy in recent years. Monetary policy at the macro level action-oriented activities of the National Bank. Strategic policy directions for the medium term predictability of policies of the National Bank.
дипломная работа, добавлен 03.04.2011Reforming the taxation system in Ukraine for adaptation to EU requirements. Debatable issues of VAT reform in EU countries, aspects of its improvement. Comparison of the application of tax rates to some types of goods and services of the EU and Ukraine.
статья, добавлен 05.12.2022Consideration of technological innovations as the driving force of development, the main optimization technology, with high growth rates of industrial enterprises. Assessment of the profitability and risks of Chinese shares, recommendations to investors.
дипломная работа, добавлен 10.08.2020Non-financial reporting of medium-sized agricultural enterprises of Ukraine through definition of activities of the enterprise, which are subject to disclosure in non-financial reporting, to meet information needs of internal and external stakeholders.
статья, добавлен 02.05.2022Понятие мирового финансового рынка и его участники, основные тенденции. Частные и институциональные инвесторы. Сущность и особенности хедж-фондов, подходы к оценке и типы их операционных рисков. Анализ достаточности капитала. Методика Value-at-Risk.
дипломная работа, добавлен 15.04.2013The study the significant factors of bank selection criteria in Malaysia: people influence, communication technology, convenience, personnel, easy process, variety, service quality and cost. Differences in banking conditions for demographic classes.
статья, добавлен 28.09.2016It is shown the main business indicators system of diagnostics of formation and costs of the enterprise in Ukraine. Also found that as a result of violation of tax legislation of Ukraine, the manager of the enterprise can be applied to legal liability.
статья, добавлен 16.08.2017Управление финансовыми рисками. Value-at-Risk (VaR) как мера максимального потенциального изменения стоимости портфеля финансовых инструментов. Характеристика основных методов вычисления VaR. Сравнение точности и скорости разных методов вычисления VaR.
статья, добавлен 10.08.2018Develop proposals to improve the performance of incremental tax credit as an incentive and to incorporate it into the tax regime of the R&D sector in the RF. The positive and negative aspects of two types of tax credit: incremental and volume- based.
статья, добавлен 04.03.2021The main problems in the investment manager: get additional benefits, avoidance of risk. Features of the decision on capital investment: assessing the company's budget, marketing research, the results of the audit. Evaluation of budget expenditures.
презентация, добавлен 02.08.2013Оценка показателей кредитного риска посредством RAROC (Risk-Adjusted Return on Capital). Учет изменений качества и рискованности портфеля. Необходимость включения показателя управления качеством портфеля в процесс бизнес-планирования организации.
статья, добавлен 28.06.2018Сущность хозяйственного риска организации и причины его возникновения. Финансовые инструменты управления рисками организации. Основные направления и методы расчета финансового риска: теоретический аспект. Value-at-risk: методика расчета рыночного риска.
дипломная работа, добавлен 22.07.2017The concepts of Markowitz`s portfolio theory. The way to find the value of a risky security to add a premium for risk to the pure rate of interest. The followings from the relation between the variance of the return of a portfolio and of its securities.
статья, добавлен 11.08.2013Analysis of existing models for identifying the optimal debt structure. Identify and analyze the factors and risks that can determine and mitigate the capital structure. Development of a debt management model for optimizing the capital structure.
магистерская работа, добавлен 18.11.2017- 73. Transformation of monetary institutions and policy credibility in Ukraine: retrospective analysis
The directions of development of institutional bases of monetary policy in Ukraine are investigated. The aspects of forming confidence in monetary policy are considered. External factors influencing the development of the monetary sphere are determined.
статья, добавлен 30.08.2016 The analysis of factors, conditions that affect the attractiveness of mining investment in Poland. Political risk, institutions and foreign direct investment. Measurement of competitive advantages and market attractiveness for strategic controlling.
статья, добавлен 30.11.2020Ознайомлення з уявленнями про зміст та сутність операційної системи інвестиційно-будівельного проекту, як мобільного підприємства. Дослідження й аналіз взаємозв’язків між основними діагностичними бізнес-індикаторами інвестиційного будівельного проекту.
статья, добавлен 25.12.2017