The risks of the pension insurance system

The formation of pension systems in different countries, depending on their specific economic, political and socio-cultural factors. Analysis of the risks of pension insurance in Ukraine. Accumulation of risks through insurance and amortization.

Подобные документы

  • Studying the features of the formation of the principles of state and supranational regulation of financial markets to create the optimal mechanism for the functioning of the stock market based on international experience and national characteristics.

    статья, добавлен 10.10.2018

  • Features of banking services that determine the specifics of marketing banking services. Analysis of the scope of application of psychological theories of motivation in the marketing of banking services, a decision on the purchase of banking services.

    статья, добавлен 07.11.2022

  • The paper is dedicated to discussion the problem of Banking, Money and its function, banking system. The role of banks, their history, the money and the origin of the word. The central bank and the commercial and banking system in Russian Federation.

    статья, добавлен 29.04.2019

  • Analysis of problems, key tendencies and most significant news of the banking sector, concerning macroeconomic environment. Predictions about the consequences of latest events effecting performance of Chinese banking. Structure of Chinese banking sector.

    статья, добавлен 12.04.2019

  • To provide finance for the war against France - one of the reason for the foundation of the Bank of England. The provision of means whereby the movement of funds between the government and the banking system - the main feature of the discount markets.

    курсовая работа, добавлен 21.05.2015

  • Empirical research on the factors affecting the capital structure in the world and Vietnam. The factors that played an important role in the capital structure of Vietnamese banks, based on which determined the optimal capital structure for these banks.

    статья, добавлен 18.02.2021

  • Comprehensive analysis of trends in the formation of analytical and information support for the activities of stock market participants based on a logistic approach. The principles that form the basis of information provision of exchange activity.

    статья, добавлен 10.05.2023

  • Definition of the "currency regulation" concept on the basis of a prudential approach, taking into account the current trends in the development of world economic relations. Features of currency regulation tools in the context of regional integration.

    статья, добавлен 19.08.2020

  • Board of Governors of the Federal Reserve System. Central banks play an important role as guarantors of the monetary system. Foreign Exchange Operations. Open market operations. Securities Lending. Processing at Federal Reserve Bank Regional Offices.

    реферат, добавлен 11.09.2010

  • Research of the relationship between the amounts of external borrowings of commercial banks in Ukraine and terms of granting short-term loans to legal entities and individuals. The dependence of the activity of commercial banks from their activity.

    статья, добавлен 14.08.2016

  • Identification of insiders whose transactions allow us to predict market movements of securities. Analysis of the predictive effectiveness of various approaches to identify potentially informative transactions at various levels of market liquidity.

    курсовая работа, добавлен 07.12.2019

  • Trends in credit risk management in the modern banking system of Kazakhstan. The consequences of the crisis on the world financial markets and its impact on the emergence of new approaches to risk management. Ways to improve credit risk management.

    статья, добавлен 28.09.2016

  • The estimated coefficients of the U.S. banking sector. Ranking of multiples of projected financial indicators according to their effectiveness for a period of from 30 to 200 days. The account of influence of factors on the accuracy of the estimation.

    дипломная работа, добавлен 30.07.2016

  • Economic concepts in banking sector. Equilibrium in money market. Interest rate and it’s role in economy. The use of strategy Deposit multiplier. Methods to determine the ratio between reserves and deposits. The effects of changes in interest rates.

    реферат, добавлен 17.04.2014

  • Analyzes of general views on factors of global misbalances appearance. Formulation of hypotheses of interdependence between the level of credit risk and indicators which characterize global misbalances. The proposals for management decision making.

    статья, добавлен 30.10.2016

  • The use of project management in economic activities. Maximizing the profitability of organizations through information technology. The banks use special software to determine the level of solvency of the client and decision about granting the loan.

    контрольная работа, добавлен 20.03.2016

  • Research of international literacy for the adequacy of factors and indicators in rating assessments. Determination of the ratios of financial indicators. Review of methodologies for assessing the credit rating of banks. Investments in securities.

    статья, добавлен 04.03.2021

  • The concept of credit as an economic category, its forms, types and principles. Study of the credit policy of banking institutions, credit operations of banks at the current stage of the economy. Overview of the credit activity of Ukrainian banks.

    статья, добавлен 15.04.2024

  • The documentation as a basic elements of a method of accounting in private bank. "On payment" as obligations which are available for the enterprise before workers and employees in connection with charge of a salary by it. The main enterprise debts.

    статья, добавлен 18.02.2021

  • Основы выбора информационной банковской системы. Роль банковских информационных технологий в процессах реинжиниринга и совершенствования кредитных организаций. Принципы, лежащие в основе Management Information System. Безопасность информационной системы.

    контрольная работа, добавлен 22.10.2015

  • Theoretical basis of formation and management of second tier banks’ resources. The concept, structure and management of the bank’s capital. Essence, classification and role of deposits. Bonds and syndicated loans as the main sources of non-deposit funds.

    дипломная работа, добавлен 26.09.2017

  • Overcoming consequences of the financial and economic crisis of 2008-2010. Problems of bank credit risk management. Quantitative and qualitative indicators of credit risk assessment of the various sectors of the economy. Loan portfolio optimization.

    статья, добавлен 19.02.2016

  • Formation of a balanced loan portfolio is one of the directions in the activities of a commercial bank, which makes it possible to define the tactics and strategy of development of a commercial bank, to assess the possibilities of lending to customers.

    статья, добавлен 24.02.2024

  • Earnings management, competition and cooperative banks' risk-taking. This paper investigates the interrelationship between earnings management, competition and risk using the panel data of 615 cooperative banks in 16 countries during the 1994–2007 period.

    статья, добавлен 27.09.2016

  • Геополітичні проблеми в Україні як найвагоміший фактор зниження акцій українських аграрних компаній. Динаміка індексу WIG-Ukraine та WIG 20 за останні два роки. Фіксація прибутків інвесторів. Ймовірне формування довгострокового тренду на зростання.

    статья, добавлен 23.03.2016

Работы в архивах красиво оформлены согласно требованиям ВУЗов и содержат рисунки, диаграммы, формулы и т.д.
PPT, PPTX и PDF-файлы представлены только в архивах.
Рекомендуем скачать работу и оценить ее, кликнув по соответствующей звездочке.