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BUSINESS INFORM №6-2015

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29

Section: Finance, Money Circulation and Credit
UDC 336.7:330.131.7
Bielova I. V.
Scientific-Methodical Bases of Formation of the System of Indicators for Monitoring of the Accumulation of Systemic Financial Risk in the Economy of Ukraine (p. 169 - 173)

Both the absence of universal set of indicators and the diversity of existing approaches, arising from the need to take into account the specific characteristics of the country, postulated relevance of this research and the need to establish a system of indicators to identify the level of systemic financial risk. The article estimates interconnections between the indicators of functioning of the institutional sectors of the Ukrainian economy and the options of the onset of financial crisis in various economic spheres. As result of the carried out calculations, a system of relevant indicators of the systemic financial risk accumulation in the institutional sectors of the economy in the context of their time monitoring terms has been formed. The carried out research provides a basis for developing measures to manage systemic financial risks in the domestic economy.
Keywords: systemic financial risk, financial crisis, monitoring of systemic financial risk, spheres of financial system, institutional sectors of economy, indicators of the accumulation of systemic financial risk
Tabl.: 3. Bibl.: 8.

Bielova Inna V. – Doctor of Sciences (Economics), Associate Professor, Professor, Department of Finance, Banking and Insurance, Scientific-Educational Institute of Business Technologies «UAB» of Sumy State University (57 Petropavlіvska Str., Sumy, 40030, Ukraine)
Email: [email protected]

Article is written in Ukrainian
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Reference to this article:
Bielova, Inna V. (2015) “Scientific-Methodical Bases of Formation of the System of Indicators for Monitoring of the Accumulation of Systemic Financial Risk in the Economy of Ukraine.” Business Inform 6:169–173.


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