Zobrazeno 1 - 9
of 9
pro vyhledávání: '"Lavreniuk, Vladyslav"'
Publikováno v:
Problemi Ekonomiki, Vol 2, Iss 56, Pp 213-223 (2023)
The article is aimed at deepening and systematizing the theoretical and methodological foundations of liquidity management at the macro and micro levels. The state of liquidity of the banking system of Ukraine during the war period is analyzed and th
Externí odkaz:
https://doaj.org/article/dff7c231113d4512a9512495c8d57bc6
Publikováno v:
Bìznes Inform, Vol 4, Iss 531, Pp 110-119 (2022)
The purpose of the article is to study the economic essence and approaches to taxonomy and quantitative assessment of the bank’s operational risk, taking into account the evolution of standards defined by international institutions. The development
Externí odkaz:
https://doaj.org/article/85a2727ddc2e4ce39edb789021807c76
Publikováno v:
Bìznes Inform, Vol 1, Iss 528, Pp 59-67 (2022)
The article is aimed at studying foreign experience in improving the financial literacy of the population and possible ways of its implementation in Ukraine. The article substantiates the need to increase the financial literacy of the population in t
Externí odkaz:
https://doaj.org/article/c8c14cd083f4403090e783de43091926
Autor:
Polishchuk, Yevheniia, Tepliuk, Mariia, Horbov, Vladyslav, Ivashchenko, Alla, Tereshchenko, Oleg, Lavreniuk, Vladyslav
Publikováno v:
Financial & Credit Activity: Problems of Theory & Practice; 2024, Vol. 4 Issue 57, p457-472, 16p
Autor:
Lavreniuk Vladyslav V.
Publikováno v:
Bìznes Inform, Vol 12, Iss 527, Pp 231-238 (2021)
The article is aimed at researching the impact and directions of fintech risk management in the banking sector. The article identifies key tendencies in the development of fintech innovations for the banking sector and explores the potential impact o
Externí odkaz:
https://doaj.org/article/43634516e5ab4e6eb165782bacb54921
Publikováno v:
Problemi Ekonomiki, Vol 3, Iss 49, Pp 140-146 (2021)
The article is aimed at identifying, firstly, the features and the ways in which climate change influences the profile of financial business, and secondly, financial risks modification while taking into account climate change risks. Climate change is
Externí odkaz:
https://doaj.org/article/9c6ab75a3c9745be8e0c46cd5783496b
Publikováno v:
Bìznes Inform, Vol 11, Iss 514, Pp 288-295 (2020)
The article is aimed at researching the theoretical-methodological and practical aspects of the bank’s currency risk management. To solve the tasks set, the authors use general scientific and specific methods, in particular: logic-dialectical, math
Externí odkaz:
https://doaj.org/article/e291c4fe2dbe4cdc98153a598629a71c
Publikováno v:
Problemi Ekonomiki, Vol 4, Pp 213-222 (2016)
The aim of the article is to determine the nature of systemic risk as a threat to the financial stability of the banking system and develop analytical tools to assess its impact on the banking system in terms of its liquidity. To solve the tasks a
Externí odkaz:
https://doaj.org/article/02a3c67ffae04e81b214c922069c6e09
Autor:
Prymostka, Liudmyla, Krasnova, Iryna, Lavreniuk, Vladyslav, Prymostka, Olena, Chepizhko, Oksana
Publikováno v:
Financial & Credit Activity: Problems of Theory & Practice; 2023, Vol. 4 Issue 51, p8-20, 13p