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Мodeling the level of a country's financial stability: an economic and mathematical approach

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dc.contributor.author Korol, Maryna
dc.contributor.author Duran, Volodymyr
dc.contributor.author Romaniuk, Serhii
dc.contributor.author Stehnei, Marianna
dc.contributor.author Стегней, Маріанна Іванівна
dc.contributor.author Korol, Ihor
dc.contributor.author Palinchak, Mykola
dc.date.accessioned 2026-07-13T11:18:54Z
dc.date.available 2026-07-13T11:18:54Z
dc.date.issued 2026
dc.identifier.uri http://dspace.msu.edu.ua:8080/jspui/handle/123456789/14083
dc.description Maryna Korol, Volodymyr Duran, Serhii Romaniuk, Marianna Stehnei, Ihor Korol, Mykola Palinchak. Мodeling the level of a country's financial stability: an economic and mathematical approach. Фінансово-кредитна діяльність: проблеми теорії та практики.Том 3 (68), 2026. С. 192-206 uk_UA
dc.description.abstract The global nature of recent financial crises clearly demonstrates that while the integration of financial markets offers numerous benefits, it can also pose significant risks, often resulting in substantial losses in the real economy. In this context, analyzing the transformation of financial markets is essential for identifying threats, as it is characterized by persistent volatility and is vulnerable to crisis phenomena. It is equally important for developing protective mechanisms against adverse developments that do not hinder the dynamics of economic growth. This issue becomes particularly relevant in the context of the emerging digital economy and society, where the implementation of innovative life-support models creates new channels for the transmission of systemic risks and increases the structural heterogeneity of national financial systems, thereby necessitating a corresponding enhancement of the economic and mathematical tools used to model them. uk_UA
dc.language.iso other uk_UA
dc.subject banks uk_UA
dc.subject crises uk_UA
dc.subject risks uk_UA
dc.subject financial stability uk_UA
dc.subject investments uk_UA
dc.subject GDP uk_UA
dc.subject real exchange rate uk_UA
dc.subject economic growth uk_UA
dc.subject panel VAR model uk_UA
dc.title Мodeling the level of a country's financial stability: an economic and mathematical approach uk_UA
dc.type Article uk_UA


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