Horbachova A. Formation of Risk-Based System of Financial Market Regulation of Ukraine

Українська версія

Thesis for the degree of Candidate of Sciences (CSc)

State registration number

0415U001121

Applicant for

Specialization

  • 08.00.08 - Гроші, фінанси і кредит

26-12-2014

Specialized Academic Board

Д 27.855.01

University of the State Fiscal Service of Ukraine

Essay

Object - set of financial relationships that arise in the operation and regulation of the financial market; goal - to deepen the theoretical basis and justification of practical recommendations for the formation of risk-oriented system of regulation of the financial market of Ukraine, aimed at improving its resilience to shocks; methods - dialectical, historical, logical, systematic, functional, analytical, economic statistics; Novelty - improved conceptual apparatus in the regulation of financial markets on the definition of "risk-based regulatory system" which, unlike the traditional understanding of regulation as the process of achieving the expected changes in the structure and dynamics of the financial market are considered, the focus of regulation to maintain safe parameters its development. This will ensure adequate instrument risk-based regulatory system of modern high volatility of financial markets; results - improved theoretical principles and reasonably practical recommendations on forming a risk-based system of regulation of the financial market in Ukraine; implemented - in practice JSC "Ukrainian Bank for Reconstruction and Development," National Commission on Securities and Stock Market, National University of the State Tax Service of Ukraine; industry - economic.

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