Munich Personal RePEc Archive

Browse by Institution

Up a level
Export as [feed] Atom [feed] RSS 1.0 [feed] RSS 2.0
Group by: Creators Name | No Grouping
Jump to: A | K | S | T
Number of items: 23.

A

Afanasyeva, Olga (2011): Analysis of Main Instruments of Crisis Regulation of Banking Activity During the Global Financial Crisis of 2008-2009. Published in: Corporate Ownership and Control , Vol. 9, No. 1 (2011): pp. 233-243.

Afanasyeva, Olga and Lapina, Yulia and Scherbina, Tetiana (2013): Risk Management, Corporate Governance and Investment Banking: The Role of Chief Risk Officer. Published in: Corporate Ownership and Control , Vol. 10, No. 3 (2013): pp. 313-330.

Afanasyeva, Olga and Riabichenko, Dmitry (2014): Operational Risk Governance: The Basel Approach. Published in: Problems and perspectives of Ukraine’s banking system No. 38 (2014): pp. 51-62.

K

Kozmenko, Olga and Merenkova, Olga and Boyko, Anton (2009): Forecasting of principal directions of Ukrainian insurance market development based on German insurance market indices. Published in: Innovative Marketing , Vol. 5, No. 4 (2009): pp. 51-54.

Kozmenko, Olha and Kravchuk, Hanna (2010): Consequences of the financial crisis for the insurance markets of the world and Ukraine. Published in: Insurance Markets and Companies: Analyses and Actuarial Computations , Vol. 1, No. 3 (29 December 2010): pp. 7-15.

Kozmenko, Olha and Kuzmenko, Olha (2013): Modeling the stability dynamics of Ukrainian banking system. Published in: Banks and Bank Systems , Vol. 8, No. 2 (1 August 2013): pp. 55-62.

Kozmenko, Olha and Kuzmenko, Olha (2012): The integration of the banking, insurance and reinsurance markets in Russia and Ukraine. Published in: Banks and Bank Systems , Vol. 7, No. 3 (19 October 2012): pp. 103-111.

Kozmenko, Olha and Pakhnenko, Olena (2012): Securitization of bank assets and insurance liabilities on the basis of the stock market potential. Published in: Insurance Markets and Companies: Analyses and Actuarial Computations , Vol. 3, No. 2 (28 December 2012): pp. 35-39.

Kozmenko, Olha and Roienko, Victoria (2013): Evaluation and use of indicators of insurance companies’ investment activities. Published in: Investment Management and Financial Innovations , Vol. 10, No. 3 (3 October 2013): pp. 98-105.

Kozmenko, Serhiy (2010): Economic evaluation of the consequences of disasters. Published in: Environmental Economics , Vol. 1, No. 1 (5 November 2010): pp. 8-11.

Kozmenko, Serhiy and Plastun, Oleksiy (2011): Mutual influence of exchange assets: analysis and estimation. Published in: Banks and Bank Systems , Vol. 6, No. 2 (30 June 2011): pp. 53-58.

Kozmenko, Serhiy and Plastun, Oleksiy (2012): Mutual influence of the exchange assets: practical aspects. Published in: Banks and Bank Systems , Vol. 6, No. 4 (8 February 2012): pp. 5-10.

Kozmenko, Serhiy and Plastun, Oleksiy (2012): The necessity of stock markets information incorporation into the methodology of credit rating agencies. Published in: Investment Management and Financial Innovations , Vol. 9, No. 3 (28 September 2012): pp. 8-18.

Kozmenko, Serhiy and Plastun, Oleksiy (2011): Indicators DZ and RDZ: essence, methods of calculation, signals and rules of trading. Published in: Investment Management and Financial Innovations , Vol. 8, No. 3 (15 November 2011): pp. 50-57.

Kozmenko, Serhiy and Savchenko, Taras (2011): Countercyclical monetary policy in major economies of the Commonwealth of Independent States. Published in: Investment Management and Financial Innovations , Vol. 8, No. 4 (20 January 2012): pp. 8-19.

Kozmenko, Serhiy and Savchenko, Taras (2013): Development of an explicit rule of monetary policy for the economy of Ukraine. Published in: Investment Management and Financial Innovations, , Vol. 10, No. 1 (1 March 2013): pp. 8-19.

Kozmenko, Serhiy and Savchenko, Taras and Kazarinov, Dmytro (2012): Assessment of financial convergence of Ukraine with the CIS countries and the European Union. Published in: Banks and Bank Systems , Vol. 7, No. 4 (21 December 2012): pp. 5-17.

Kozmenko, Serhiy and Vasil’yeva, Tetyana and Leonov, Serhiy (2010): The structuring of components of the net domestic product according to the innovation criterion. Published in: Innovative Marketing , Vol. 6, No. 4 (27 December 2010): pp. 30-41.

Kryklii, Olena and Pavlenko, Ludmila and Podvihin, Sergei (2013): Cost-effectiveness analysis of Ukrainian banks using the DEA method. Published in: The advanced Science Journal No. 12 (December 2013): pp. 49-55.

S

Savchenko, Taras (2006): Methodological aspects and methods of transfer pricing in ukrainian banking institutions. Published in: Journal of International Economic Policy No. №2(5) (2006): pp. 5-33.

Savchenko, Taras and Kozmenko, Serhiy and Piontkovska, Yanina (2014): Development and application of the monetary rule for the base interest rate of the National Bank of Ukraine. Published in: Banks and Bank Systems , Vol. 9, No. 3 (2014): pp. 50-58.

Shkolnyk, Inna and Kozmenko, Olha (2008): The peculiarities of the financial market development in Ukraine. Published in: Investment Management and Financial Innovations , Vol. 5, No. 1 (5 May 2008): pp. 104-112.

T

T., Vasylieva and A., Lasukova (2013): Empirical study on the correlation of corporate social responsibility with the banks efficiency and stability. Published in: Corporate ownership & Control , Vol. 10, No. 4 (2013): pp. 86-93.

This list was generated on Thu Aug 13 10:07:52 2020 CEST.
UB_LMU-Logo
MPRA is a RePEc service hosted by
the Munich University Library in Germany.