Budarina N. The Transformation of the Global Financial Market in the Conditions of Global Economic Shifts

Українська версія

Thesis for the degree of Doctor of Science (DSc)

State registration number

0514U000418

Applicant for

Specialization

  • 08.00.02 - Світове господарство і міжнародні економічні відносини

26-06-2014

Specialized Academic Board

Д11.051.03

Essay

The object of research is the transformation of the world financial market in the context of global economic shifts. The aim of the thesis is to develop a theoretical and methodological bases of research transformation of the world financial market and on this basis - a holistic scientific concept of the global financial market regulation in the context of global economic shifts. Methods: the dialectical method of scientific knowledge, methods of complex analysis and synthesis, formal and dialectical logic, system generalization, classification and analytical and comparative economic and statistical methods as well as methods of questioning and simulation and so on. Theoretical results: consist in the conceptual solution of scientific problems of transformation of the world market and on this basis - methodological support of the global financial market regulation in the context of global economic shifts. Practical results: consist in the fact that the theoretical and methodological provisions of the thesis are the scientific basis for the development of strategic directions to stabilize financial markets in the context of global economic developments and to minimize the effects of cyclical fluctuations and the financial and economic crises on different levels. Scientific novelty: for the first time: the concept of the global financial market regulation in the context of global economic shifts; proposed organizational and analytical tools of an early prediction of the financial crisis; hypothesized about the possibility of purposeful use of the mechanism of transfer of economic crisis as a phenomenon; implemented structural decomposition of the system of indicators of financial crises; improved: the quantitative basis for assessing the probability of occurrence and development of financial crises; theoretical and methodological foundations of the study of the world market; conceptual basis of the study of economic shifts; factor and conceptual approach to the determination of causation of global changes in global financial markets; received further development: conceptual and categorical apparatus study of the world financial market; theoretical foundations of the study of globalization of the world market; theoretical foundations of the study of causality transformation competitive position of national financial markets. The degree of implementation: results of activities implemented in the Verkhovna Rada of Ukraine; Guarantee Fund of individuals investments of; National Commission on Securities and Stock Market; Donetsk Regional State Administration; Donetsk Chamber of Commerce; Regional Branch of the National Institute for Strategic Studies in Donetsk; Office of the National Bank of Ukraine in Donetsk region; Donetsk City Council; LLC "Asset Management Compan" Foutpost"; PJSC "First Ukrainian International Bank", and also used in the learning process of Donetsk National University. Scope: interbranch.

Files

Similar theses