Monetary Instruments of Post-Crisis Recovery Монетарный инструментарий посткризисного восстановления [PDF]
Considered and reasonable approaches to monetary policy in the post-crisis conditions. The role of central banks in regulating the financial sector, in particular, highlighted a range of Central banks used methods and tools that eventually should lead to
Galushko Yuliya P.
doaj
The article deals with the concepts of financial «reliability», «stability» and «sustainability»from the point of view of legislation as well as economic theory.
Alfiya Akhmetshaevna Sokolova+1 more
doaj
Evaluation the level of financial security business in Ukraine Оценка уровня финансовой безопасности предпринимательской деятельности в Украине [PDF]
The article is devoted to determination the essence of «financial security of an enterprise», its role and meaning. Assessment of the financial security of business in Ukraine has been made.
Savitskaya Yelena I.
doaj
Rating System CAMEL as Instrument of Assessment of the Financial Stability of the Bank Рейтинговая система CAMEL как инструмент оценки финансовой стабильности банка [PDF]
The article substantiates the basic theoretical and methodic bases as to the use of rating assessments of CAMEL. It gives recommendations as to the use of rating assessments of CAMEL for the assessment of the activity of the banks of Ukraine.Обоснованы ...
Kolodizev Oleg Nikolaevich+1 more
doaj
Formalization of Theoretical Approaches to the Definition of Financial Stability of the Banking System Формализация теоретических подходов к определению финансовой устойчивости банковской системы [PDF]
Based on theoretical analysis, the main risk factors of the influence on the final effective functionality of the bank within the parameters of its financial stability were defined and also practical aspects of regulating the level of riskiness of bank ...
Piskunov Roman A., Lazko Andrey A.
doaj
The role of gold in ensuring the monetary stability of financial system
The central problem of the modern financial system is finding a mechanism for its stabilization and overcoming its imbalance and constant commitment to systemic risks. The author believes the solution of this problem lies in the fundamental change of the
N N Rubtsov
doaj
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