Kravchenko M. Public finances of Ukraine in the context of the global economic crisis.

Українська версія

Thesis for the degree of Candidate of Sciences (CSc)

State registration number

0415U003061

Applicant for

Specialization

  • 08.00.08 - Гроші, фінанси і кредит

25-03-2015

Specialized Academic Board

Д 26.001.12

Taras Shevchenko National University of Kyiv

Essay

Dissertation is devoted to for theoretical and methodological principles for operation and anti-crisis management of public finances of Ukraine within the context of global economic crisis. The notion and interrelation between "public finances" and "finances of state management sector" have been explained and the special features of development in the mentioned sectors of the financial system during the global financial crisis have been determined in this research. Additionally, this work describes the notion of the "global economic crisis" concept, as well as its negative impact on the world market's conditions and macroeconomic conditions of the development of the state financial system of Ukraine. The author provides categorization of threats and risks for development of the public finances of Ukraine, as well as suggests ways to minimize them with due regard to the international experience. The development trends in the state financial system of Ukraine within the context of the global economic crisis have been identified, in particular, increase of extensive fiscal misbalances, stage-by-stage progressing of the crisis in this segment of the financial system, progress of implementation and consequences of the tax, budget and pension reforms aimed at stabilization of socio-economic development and overcoming deficit of the Pension Fund of Ukraine, development of measures for suppression of the military aggression and separatisms. The mechanism of anti-crisis management in the field of public finances of Ukraine was offered, while providing grounds for the essence and components of such mechanism. In this research a regression model of the impact of quasi-fiscal operations on the indicators of public finance, conditions of the market participants and effective demand of citizens has been developed. Optimization methods for the indicated operations have been explained as an important direction of the anti-crisis management in the field of public finances.

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