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Information × Registration Number 0312U003388, 0107U001333 , R & D reports Title Improvement of regulation and management mechanisms of banking activity under globalization conditions popup.stage_title Аналіз поточного стану банківської системи та банківських установ України. Наукове обґрунтування удосконалення механізмів регулювання та управління банківською діяльністю. Head Prymostka Ludmila Oleksandrivna, Доктор економічних наук Registration Date 17-05-2012 Organization Kiev Vadima Getmana National Economic University popup.description2 Object of study: the banking system of Ukraine. Objective: to study the conceptual and methodological foundations to improve the mechanisms of regulation and control activities in the context of globalization. Objectives of the study: in-depth study and generalization of global theory and practice, and theory and practice of Ukraine on improving the regulation and management of Results and novelty: the main results are the research materials with an estimated conclusions and proposals. By: - developing concept formation, management and evaluation of the portfolio of bank assets - study new approaches to the identification and management of banking risks - develop a comprehensive technique portfolio bank profitability - improving risk management portfolio transactions of banks - improving the conceptual and terminological system of risk management portfolio - study the impact of marketing on the bank deposit policy regarding the formation of the deposit base - the formulation of the basic definitions of the financial potential of the bank - a new approach to comprehensive assessment of risk the bank-impact assessment of the existing system of currency regulation and control on state economy, banking activities and economic operators;-discovery impact the existing system of currency regulation and control of the state of the economy, the activities of banks and economic agents - definition of basics mechanisms interbank lending - study areas to improve operations of the interbank lending. - Developing methodological principles of building a diversified portfolio of commercial banks - research approaches risk-based supervision, the requirements for internal assessment of capital adequacy in banks under the EU Directive. A: - methodical approach to integrated assessment of financial stability of the bank. Classification of motives savings behavior of the population, which is based on qualitative and quantitative classification features: economic (income and consumption), social (postponed demand unsatisfied demand renewable) Psychological (psychology, mentality). The novelty of the results is confirmed by references. Recommendations on the use of performance: the results incorporated into the learning process SHEE "Vadim Getman's Kyiv National Economic University" relevant material delivered for use in the National Bank of Ukraine and commercial banks can be used to improve the efficiency of the banking system and the individual bank. The significance of the work and conclusions: work has social significance at the level of the banking system, and at the level of the institution. Product Description popup.authors popup.nrat_date 2020-04-02 Close
R & D report
Head: Prymostka Ludmila Oleksandrivna. Improvement of regulation and management mechanisms of banking activity under globalization conditions. (popup.stage: Аналіз поточного стану банківської системи та банківських установ України. Наукове обґрунтування удосконалення механізмів регулювання та управління банківською діяльністю.). Kiev Vadima Getmana National Economic University. № 0312U003388
1 documents found

Updated: 2026-03-27