Solovarov A. Debt security of the banking sector of the economy of Ukraine

Українська версія

Thesis for the degree of Candidate of Sciences (CSc)

State registration number

0419U004907

Applicant for

Specialization

  • 08.00.08 - Гроші, фінанси і кредит

28-10-2019

Specialized Academic Board

Д 26.883.01

Banking University

Essay

Characterized features of the motion / cycle of debt resources. The classification of varieties of debt obligations of the banking sector is presented. The essence of debt security of the banking sector is determined, its author's interpretation is given, the necessity of an integrated approach to its consideration is emphasized. The components of debt security of the banking sector and its place in the security of the country's debt area are determined. The factors of debt security of the banking sector are outlined, the author's vision of his debt policy and stability is given. The main threats to the security of the banking sector are identified and their detailed classification is presented. The list of debt security indicators of the banking sector is presented. It is emphasized that there is no integral system of the debt security of the banking sector of the economy of Ukraine. The main disadvantages of the varieties of such security and their negative consequences are determined. The tendencies of changing the volume and structure of the debt of the banking sector to economic agents and the debt of the last banking sector, the volume of its total debt, the share of its internal and external components in it are analyzed. The level of security of domestic indebtedness of the banking sector of Ukraine and the state of security of its external debt are estimated. The main directions of raising the level of debt security of the banking sector of the economy of Ukraine are determined. The approach to the estimation of its debt stability and socio-economic efficiency of securing its debt security is presented.

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