Sloboda, L. Ya., & Banakh, Yu. V. (2009). Klasyfikatsiya ryzykiv pohlyblennya finansovoyi kryzy ta kharakterystyka yikhn'oho proyavu v Ukrayini [Risks Classification of the Deepening of Financial Crisis and Description of their Display in Ukraine]. Rehional'na ekonomika - Regional Economy, 51(1), 272 p. [in Ukrainian].
Authors
ResumeThe concept and descriptions of financial crisis has been investigated. System classification of risks of the deepening of financial crisis has been offered on the basis of selection of groups of macroprudential risks, risks of the functioning of a banking system, risks for real sector of economy and house holds. Description of risk’s spectrum is carried out in each of these groups according to the spheres of their origin and real display in Ukraine. For subsequent analytical researches of display of risks a list of macro- and microprudential indicators has been defined on the basis of their changes is possible to forecast the deepening of financial crisis in the country.
Keywords:financial crisis, risks, macroprudential risks, risks of the functioning of a banking system, indicators of the deepening of financial crisis
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