S. Naumenkovа, Doctor of Sciences (Economics), Professor National Taras Shevchenko University of Kyiv, Kyiv, Ukraine BASEL I, II, III: THE DEVELOPMENT OF APPROACHES FOR STRENGTHENING OF PRUDENTIAL FRAMEWORK

The article is devoted to the analysis of the enhancement to the Basel III framework in the Ukrainian banking sector. The package of reforms offered by the Basel Committee on Banking Supervision is investigated. Continue reading

S. Mytsiuk, Ph.D in Economics Taras Shevchenko National University of Kyiv, Kyiv, Ukraine, V. Megey, economist, Kyiv, Ukraine CURRENT CONDITION AND PROSPECTS OF UKRAINE COOPERATION WITH INTERNATIONAL FINANCIAL ORGANIZATIONS

The article describes the present status of relations between Ukraine and the International Monetary Fund, the World Bank and the International Bank for Reconstruction and Development. and analyzes the trendencies Continue reading

I. Lukianenko, Doctor of Science (Economics), Professor, Roman Semko, PhD in Economics, Associate Professor National University of Kyiv-Mohyla Academy, Kyiv, Ukraine THE DETAILS OF CONSTRUCTION AND APPLICATION OF EUROPEAN COMMISSION MACROMODEL QUEST III WITH EXTENDED FISCAL BLOCK

In this paper we provide detailed derivation of dynamic stochastic general equilibrium model QUEST III that was developed under European Commission project. The principal feature of the model is the presence of Continue reading

N. Grazhevska, Doctor of Sciences (Economics), Professor Taras Shevchenko National University of Kyiv, Kyiv, Ukraine, A. Mostepaniuk, Asst. Prof. Dr., Girne American University, Turkish Republic of Northern Cyprus DEVELOPMENT OF CORPORATE SOCIAL RESPONSIBILITY UNDER AGGRAVATION OF THE CONTEMPORARY GLOBAL ISSUES

The article deals with the role and importance of corporate social responsibility as an important mechanism for overcoming the crisis of the welfare state and to mitigate the social problems caused by the world Continue reading

N. Versal, Ph.D., Associate Professor Taras Schevchenko National University of Kyiv, Kyiv, Ukraine IMPACT OF FINANCIAL CRISIS 2008-2009 ON BANKING SECTOR STRUCTURE IN UKRAINE

The article deals with the changes in the structure of Ukraine’s banking sector caused by the crisis 2008 – 2009. The research covers the pre-crisis stage (early 2008), the stage of the impact of the global financial crisis (end of 2008 – 2009), the stage of post-crisis development (2010 – 2013). The analysis is done in two areas: the analysis of the consequences of redistribution of responsibilities between the Deposit Guarantee Fund Continue reading