PROGNOSTIGATION OF FINANCIAL CRISIS OF BANK INSTITUTIONS

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Authors

  • V.P. Martynenko National Technical University of Ukraine, “Kyiv Polytechnic Institute”, Ministry of Education and Science of Ukraine, Department of Economics and Business, Victory pr-kt, 37, Kyiv, 03056

DOI:

https://doi.org/10.15330/apred.1.12.10-15

Keywords:

banking institution, forecasting, financial crisis, financial condition, methodology, financial market

Abstract

The article investigates forecasting the financial crisis banks. Particular focus on developing an integrated measure of financial condition and scale with which to determine the level of financial condition: stable, pre-crisis, crisis, a deep crisis. Using the proposed method of forecasting the crisis banks will allow professionals to settle bankruptcy indicator approaching that acts quantitative characteristic of the financial crisis and is the basis for the current and strategic adjustment of some banking institutions and, consequently, improve the efficiency of crisis management.

JEL: G 21

Author Biography

V.P. Martynenko , National Technical University of Ukraine, “Kyiv Polytechnic Institute”, Ministry of Education and Science of Ukraine, Department of Economics and Business, Victory pr-kt, 37, Kyiv, 03056

D.Sc. Econ., Professor

References

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Published

2016-04-11

Issue

Section

Problems of financial-credit and insurance market of Ukraine