Scientific and practical journal
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Regional Economy
   



Bobyl Volodymyr Volodymyrovych



Bobyl Volodymyr Volodymyrovych

Doctor of Economics, Associate Professor

Head of the Department of accounting, audit and intellectual property of the Dnipro National University of Railway Transport n.a. Academician V. Lazaryan

Contacts: vladimir_bobyl@list.ru

Webpages:



Coauthors



Pivnyak Yuliya Vyacheslavivna



Publications



Repository of Institute of Regional Research UDC 336.11:338.124.4(477)
Bobyl, V. V., & Pivnyak, Yu. V. (2013). Udoskonalennya systemy ryzyk-menedzhmentu bankivs'koho sektora Ukrayiny v umovakh finansovoyi kryzy [Improvement of the System of Banking Sector Risk Management in Ukraine in Terms of Financial Crisis]. Rehional'na ekonomika - Regional Economy, 68(2), 131-139. [in Ukrainian].

Sources: 14


The basic elements of bank’s risk management system are examined: risk identification, assessment and management tools. Appropriate recommendations for improvement of the modern banking risk management system are outlined. 
bank, risk-management, management tools, assessment, identification 



Repository of Institute of Regional Research UDC 336.71.078.3:330.131.7
Bobyl, V. V. (2012). Bankivs'kyy nahlyad na pidstavi otsinky ryzykiv [Bank Supervision Based on Risk Assessment]. Rehional'na ekonomika - Regional Economy, 64(2), 147-154. [in Ukrainian].

Sources: 6


The models of financial control and stages of its realization are considered. The advantages of the bank control on the basis of risk evaluation are examined. The advantages and disadvantages of creation of a megaregulator on the basis of the National Bank of Ukraine are analyzed. 
bank control, megaregulator, risk-management, financial sphere 



Repository of Institute of Regional Research Bobyl, V. V. (2011). Analiz prychyn suchasnoyi finansovoyi kryzy v Ukrayini [Analysis of Modern Financial Crisis Reasons in Ukraine]. Rehional'na ekonomika - Regional Economy, 59(1), 79-85. [in Ukrainian]. 

Analysis of fundamental factors incidental to financial crisis is conducted; their influence on modern economy of Ukraine is shown. The general features of financial crises are examined; recommendations concerning the mechanism of overcoming the negative economic phenomena that take place due to financial shocks are given. 
financial crisis, economic situation, factors, mechanism of stabilization, state program 


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