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Assessment and forecasting of Ukraine’s financial security: Choice of alternatives

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dc.contributor.author Rekunenko, Ihor
dc.contributor.author Zhuravka, Fedir
dc.contributor.author Nebaba, Natalia
dc.contributor.author Levkovych, Oksana
dc.contributor.author Chorna, Svitlana
dc.date.accessioned 2023-01-17T10:11:23Z
dc.date.available 2023-01-17T10:11:23Z
dc.date.issued 2023-01-17
dc.identifier.citation Ihor Rekunenko, Fedir Zhuravka, Natalia Nebaba, Oksana Levkovych and Svitlana Chorna (2022). Assessment and forecasting of Ukraine’s financial security: Choice of alternatives. Problems and Perspectives in Management, 20(2), 117-134. uk_UA
dc.identifier.issn 1727-7051
dc.identifier.issn 1810-5467
dc.identifier.uri http://biblio.umsf.dp.ua/jspui/handle/123456789/4881
dc.description.abstract Financial security of a country is an integral part of its economic security and the basis of national security. The paper aims to assess and forecast the level of Ukraine’s financial security using two methodological approaches (the existing one and the authors’ elaboration) to choose the best alternative. The first one is based on the Methodology of the Ministry of Economy of Ukraine. The alternative one has been developed as a multiplicative model of non-linear convolution of relevant direct and indirect impact indicators, considering the opportunity and risk, which is based on a combination of a power function and the Harrington method. A database of input indicators was formed with further differentiation according to their impact on Ukraine’s financial security. The research results demonstrated that during 2013–2019 Ukraine’s financial security integrated index was cyclical and constantly changing. A comparison of the existing methodology and the developed model demonstrated a certain discrepancy between the obtained results. It was substantiated that the proposed multiplicative non-linear convolution model for assessing and forecasting the state’s financial security is more relevant, includes current indicators sorted by their direct and indirect impact, and adjusts them according to the risk of impact on overall security in the country. uk_UA
dc.language.iso en uk_UA
dc.publisher LLC “Consulting Publishing Company “Business Perspectives” uk_UA
dc.relation.ispartofseries Problems and Perspectives in Management;20(2), 2022
dc.subject financial security uk_UA
dc.subject assessment uk_UA
dc.subject forecasting uk_UA
dc.subject diagnostics uk_UA
dc.subject indicators uk_UA
dc.subject multiplicative model uk_UA
dc.subject integrated index uk_UA
dc.subject methodology uk_UA
dc.subject Ukraine uk_UA
dc.title Assessment and forecasting of Ukraine’s financial security: Choice of alternatives uk_UA
dc.type Article uk_UA


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