Pityk O. The formation and strategy to achieve financial and economic stability of the country under external instability

Українська версія

Thesis for the degree of Candidate of Sciences (CSc)

State registration number

0415U002131

Applicant for

Specialization

  • 08.00.03 - Економіка та управління національним господарством

23-04-2015

Specialized Academic Board

К 35.886.01

Essay

The aim of the research is the systematic study of the principles, characteristics and factors of financial and economic stability of the state for the impact of external instability. The object of research is the formation and strategy of achieving economic and financial stability of the state. The subject of research is the premise factors, mechanisms and instruments manifestation distribution of financial and economic crisis in the Baltic States and Ukraine in terms of activation of external instability. Theoretical and methodological basis of research make logical-dialectical method of scientific knowledge, methods of system analysis and special methods: analysis and synthesis, statistical observation, peer review, economic theory, economic-mathematical modelling. Scientific novelty of the results is that on the basis of the system analysis formed the basis, the features and factors of achievement of financial and economic stability of Ukraine under the influence of external instability. For the first time developed a method of display and analysis of the impact of the economic crisis of one country to economic and financial stability of the other, which is not based on an assessment of the correlation changes in stock indexes, and economic dependence on the detection of multi-level indicators in developing countries, allowing grounded in choosing solutions to manage national economy with regard to external influence. Developed in the work methods can be practical and methodological tools for the study of the propagation of the financial and economic crisis in developing countries.

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