Shkliar A. Financial crises in emerging markets.

Українська версія

Thesis for the degree of Candidate of Sciences (CSc)

State registration number

0413U005239

Applicant for

Specialization

  • 08.00.08 - Гроші, фінанси і кредит

11-07-2013

Specialized Academic Board

Д 26.239.02

Essay

The object of the study are regularities of nascence of financial crises in emerging markets. The aim of the research is to validate the theoretical and methodological foundations of the analysis of financial crises and the creation of a system of indicators for early detection of financial crisis for Ukraine. Methods of research: dialectical method, induction and deduction, analysis and synthesis, abstraction, generalization, systematization and classification of the empirical research methods - observation and description. The theoretical and practical results collectively deepen existing theoretical and methodological framework for the analysis and monitoring of the risks of financial crises in emerging markets; has been formulated a list of indicators for early detection of financial crisis for Ukraine. The level of implementation: the results were used in the public authorities and administration, investment department of LLC "KUA" SEB Asset Management Ukraine", in the educational process in the preparation of students in master's degrees in "Finance and Credit". Industries: financial system of Ukraine.

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