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1

Bril, Mykhailo. "Research of macroeconomic disables of Ukraine." Economics of Development 17, no. 4 (2018): 20–29. http://dx.doi.org/10.21511/ed.17(4).2018.03.

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The crisis in the political and economic spheres in Ukraine has led to an aggravation of macroeconomic imbalances, which in turn worsen the socio-economic situation, complicate the moments of doing business, manifestation of violations and instability in the public administration sector and social tension in society. As the result is the accumulation of macroeconomic imbalances to a critical point that threatens the normal, gradual development of economic processes that should take place in the economic space of Ukraine. The article deals with the main imbalances indicators of the country's ec
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Razinkova, M. "MODELLING THE IMPACT OF EXTERNAL DEBT ON THE MACROECONOMIC DEVELOPMENT OF UKRAINE." Slovak international scientific journal, no. 89 (November 15, 2024): 22–25. https://doi.org/10.5281/zenodo.14167028.

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The factors that determine the amount of external public debt are considered. The factors of influence of the external debt on the macroeconomic development of Ukraine are estimated. The stages of building a VAR model are considered. A comparison of the data generated by the model with the actual historical data is carried out. The forecasted values of individual macroeconomic indicators according to the VAR model (2) are presented. The dynamic of the macroeconomic indicators of Ukraine, which have interdependent relations with the public debt, is presented. The existence of cause-and-effect r
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3

Kashcha, M., and A. Revenko. "MODELING THE INFLUENCE SHADOW ECONOMY ON THE MACROECONOMIC INDICATORS UKRAINE." Vìsnik Sumsʹkogo deržavnogo unìversitetu 2022, no. 2 (2022): 98–105. http://dx.doi.org/10.21272/1817-9215.2022.2-11.

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The presented work summarizes the arguments and counter-arguments within the scientific discussion on the construction of models of the impact of the shadow economy on the macroeconomic indicators of the country. The level of the shadow economy has a negative impact on Ukraine's macroeconomic indicators. The shadow economy is a covert and / or non-covert economic activity whose purpose is to intentionally or forcibly generate excess profits due to uncontrolled socio-economic relations. The main purpose of the study is to identify the impact of the shadow economy on the macroeconomic indicators
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4

Pimonenko, Tetyana, Olena Chygryn, Oleksii Lyulyov, and Bohdan Kovalov. "Macroeconomic imbalance to convergence: EU experience for Ukraine." Geopolitics under Globalization 2, no. 1 (2018): 1–10. http://dx.doi.org/10.21511/gg.02(1).2018.01.

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The paper deals with analysis of the mechanism of macroeconomic imbalance estimation and achieving the convergence of national economy. With this purpose the authors summarized the main approaches to define the macroeconomic imbalance. In addition, the main indicators which influence macroeconomic imbalance are allocated. On the basis of obtained results, the authors offer to employ the macroeconomic imbalance procedure which is used in EU countries for investigation. In order to achieve this external, internal and employment indicators in EU were analyzed by authors. Besides, with the purpose
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Kuzheliev, Mykhailo, Dmytro Zherlitsyn, Ihor Rekunenko, Alina Nechyporenko, and Guram Nemsadze. "The impact of inflation targeting on macroeconomic indicators in Ukraine." Banks and Bank Systems 15, no. 2 (2020): 94–104. http://dx.doi.org/10.21511/bbs.15(2).2020.09.

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The correlation between macroeconomic dynamics and the inflation rate is the subject of many economic studies. The principles of monetary policy are developed in classical economics studies, which are based on the theories of Keynes, Phillips, Campbell, etc. However, classic approaches require practical validation, especially with regard to modern economic trends in times of crisis and emerging economies. Therefore, the purpose of the paper is to investigate and summarize the impact of inflation targeting and other key monetary policy instruments on fundamental economic indicators in Ukraine d
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Plaskon, Svitlana, Ruslana Ruska, and Oksana Lesyk. "Determinants of macroeconomic indicators in international statistics." Economic Analysis, no. 32(4) (2022): 265–70. http://dx.doi.org/10.35774/econa2022.04.265.

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Introduction. The article analyzes the causality relationships of macroeconomic indicators of Ukraine: gross domestic product, foreign direct investments, export and import of goods and services. Statistics since 1996 to 2021 were used for the analysis. It was determined that positive causal relationships in Ukraine from direct foreign investments to gross domestic product, from direct foreign investments to exports and imports are exist at a high level of reliability and significance. Purpose. The purpose of this article is a mathematical and statistical analysis of the dynamics of macroecono
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Nemashkalo, Karina. "MANAGEMENT COMPETITIVENESS OF THE COUNTRY: MACROECONOMIC ASPECTS." Ukrainian Journal of Applied Economics 4, no. 3 (2019): 17–23. http://dx.doi.org/10.36887/2415-8453-2019-3-2-1.

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Introduction. The competitiveness of the country is primarily determined by a set of institutions and equal economic factors. They form the country’s level, its ability to produce goods and services which can compete on the world market. That is the indicator, which characterizes the country’s economic growth. So, it is actual to study concept of country’s competitiveness and determine the factors of influence on it. Purpose of the paper is to identify and evaluate the main factors of Ukraine’s competitiveness. Results. For achieving this goal, the competitiveness of Ukraine through the Global
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8

Tkachuk, Iryna, Olha Hladchuk, and Olena Vinnychuk. "IMPACT OF CHANGES IN MACROECONOMIC INDICATORS ON BANKING INDICATORS IN UKRAINE." Management Theory and Studies for Rural Business and Infrastructure Development 44, no. 4 (2023): 461–81. http://dx.doi.org/10.15544/mts.2022.46.

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9

Bykova, Adel, and Oleksii Halieiev. "DETERMINING THE SYSTEM OF INDICATORS OF MACROECONOMIC DEVELOPMENT OF UKRAINE IN THE POST-WAR PERIOD." Economic scope, no. 198 (March 10, 2025): 148–55. https://doi.org/10.30838/ep.198.148-155.

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The article examines the need to define a system of indicators of Ukraine's macroeconomic development in the postwar period. It is recognized that macroeconomic indicators are the basis for building strategies that can not only restore the post-war Ukrainian economy, but also ensure its sustainable hybrid development. The main macroeconomic indicators of Ukraine are considered. It is established that macroeconomic stability in the postwar period is the basis for effective economic reforms. The forecast macroeconomic indicators of economic and social development of Ukraine for the period 2025-2
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10

BONDARUK, І., and V. ZNAMENSKYI. "The Impact of Budget Revenues on the Macroeconomic Stability in Ukraine." Scientific Bulletin of the National Academy of Statistics, Accounting and Audit, no. 1-2 (January 19, 2022): 66–74. http://dx.doi.org/10.31767/nasoa.1-2-2021.09.

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The macroeconomic stability is an important factor in social relations that can occur within the domestic borders. Economic transformations in Ukraine and further development of market-based relations in the volatile business environment require continuous monitoring of macroeconomic dimensions of the economic mechanism at country and regional level. The article’s objective is to present the results of analysis of the public budget revenues and their impact of the macroeconomic stability in Ukraine. 
 The contribution of the public budget as a whole and its revenues in particular to the s
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Berzon, Stanislav. "QUANTITATIVE ASPECTS OF THE CURRENT ECONOMIC CRISIS IN UKRAINE." Academic Review 2, no. 55 (2021): 13–22. http://dx.doi.org/10.32342/2074-5354-2021-2-55-2.

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The article attempts to quantify the main parameters that characterize the economic crisis in Ukraine. Historical and systemic approaches are used as a basis of research methodology. In the course of the research the following methods were used: analysis to determine the comparative dynamics of macroeconomic indicators; Fourier analysis to determine the cyclical nature of the dynamics of macroeconomic indicators, the calculation of the duration and length of cycles; f-statistics to confirm the validity of the performed theoretical approximation of the lines of dynamics; analysis of variance to
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Zhuravka, Fedir, Svitlana Chorna, Yuriy Petrushenko, et al. "Financial security of Ukraine under martial law: Impact of macroeconomic determinants." Public and Municipal Finance 13, no. 2 (2024): 1–13. http://dx.doi.org/10.21511/pmf.13(2).2024.01.

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Russia’s open aggression against Ukraine has resulted in significant changes across all sectors of the Ukrainian economy and its financial sphere, including financial security. The paper aims to identify the impact of the primary macroeconomic determinants, i.e., military defense spending, non-performing bank loans, exchange rate, foreign debt, and state (total) reserves, on the financial security of Ukraine under martial law. The canonical correlation analysis is employed to assess the strength of the relationship between the above macroeconomic indicators and the level of the state’s financi
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Maltsev, Oleksandr, Larysa Shaulska, and Tetiana Stepura. "MACROECONOMIC STABILITY OF UKRAINE UNDER THE CONDITIONS OF MARITAL STATE." THEORETICAL AND APPLIED ISSUES OF ECONOMICS, no. 47 (2023): 130–40. http://dx.doi.org/10.17721/tppe.2023.47.12.

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The article is devoted to the analysis of the level of macroeconomic stability of Ukraine based on a set of indicators, the values of which are characterized by unusual trends against the background of the war. The analysis is mainly built on the basis of determining the current and forecast values of GDP, the discount rate, the average exchange rate of the hryvnia, the consumer price index, customer funds among the banking sector, the credit portfolio of the banking sector, the ratio of reserves to the credit portfolio of the banking sector. The stability of macroeconomic indicators determine
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Herasymenko, Alina. "THE IMPACT OF THE MACROECONOMIC ENVIRONMENT ON BANK LENDING TO INDUSTRIAL ENTERPRISES: THE CASE OF UKRAINE." Economics & Education 8, no. 3 (2023): 18–23. http://dx.doi.org/10.30525/2500-946x/2023-3-3.

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In today's world, the development of any economy is characterised by numerous financial, socio-economic and political challenges. Ukraine's experience is particularly special, as its macroeconomic environment is undergoing significant shifts and changes due to the unprecedented armed invasion of its sovereign territory by a neighbouring aggressor country. Given the importance of the industrial production sector in the country's economic growth, the problem of additional financial sources for the development of industrial enterprises in the dynamic macroeconomic environment of Ukraine is partic
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Kisil, Mykola. "Macroeconomic investment process in agriculture of Ukraine." Ekonomika APK 323, no. 9 (2021): 19–30. http://dx.doi.org/10.32317/2221-1055.202109019.

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The purpose of the article is to substantiate the theoretical provisions on the essence and features of the investment process and the most important areas of its activation in agriculture. Research methods. The following methods were used in the research process: dialectical - cognition of investment processes and phenomena; abstract-logical - substantiation of theoretical provisions for the development of investment processes; economic and statistical - identification of trends and patterns in the investment process; graphic - estimates of the main indicators of the dynamics and structure of
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Mazhara, Glib, Ivan Pyshnograiev, and Maryna Zavalna. "Scenario modeling of the critical macroeconomic and sustainable development indicators of Ukraine." E3S Web of Conferences 408 (2023): 01019. http://dx.doi.org/10.1051/e3sconf/202340801019.

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The assessment of the state of macroeconomic security as a crucial component of economic security in the context of sustainable development and the forecasting of key indicators are becoming more critical in light of the complicated circumstances that the functioning of the Ukrainian economy is currently experiencing as a result of the full-scale Russian invasion. Therefore, this study aims to build a relevant system dynamic model for assessing and forecasting the level of macroeconomic security in the medium term. A system of dynamic models of three key indicators (GDP growth rate, consumer p
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17

Buhel, Yuliia, and Nataliia Dombrovska. "Inflation and its impact on Ukraine’s economy: an economic and statistical analysis." Economic Analysis, no. 34(4) (2024): 130–43. https://doi.org/10.35774/econa2024.04.130.

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Introduction. Inflation is one of the key macroeconomic indicators influencing economic stability, purchasing power, and a country’s competitiveness. In Ukraine, inflation poses a serious challenge due to external shocks, rising energy prices, and internal macroeconomic imbalances. Purpose of the Article. The purpose of this article is to conduct an economic and statistical analysis of inflationary processes in Ukraine, identify the main influencing factors, assess the consequences of inflation for the economy, and develop recommendations for improving state policy. Research Methods. The study
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18

Slavkova, Olena P. "Analysis of the Macroeconomic Stability Indicators Changing Dynamics in Ukraine." Mechanism of an Economic Regulation 4 (2018): 127–34. http://dx.doi.org/10.21272/mer.2018.82.12.

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19

Labinska, H. "QUO VADIS, Ukraine?" Visnyk of the Lviv University. Series Geography, no. 39 (November 15, 2011): 210–17. http://dx.doi.org/10.30970/vgg.2011.39.2181.

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In the article analyzes the social development of Ukraine during the period of state sovereignty as compared with Poland on the basis of the dynamics of main macroeconomic indicators: GDP / person, natural population growth, inflation and unemployment. Found out the specifics of current demographic reproduction in both countries. Outlined common and different tendencies in the labor market in Ukraine and Poland. Key words: human development, employment of population, employment, migration mobility.
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Shkarupa, Olena. "Review on a monograph: “Marketing and Management of Green Investment: Theoretical Foundations, Current Challenges, and Development Prospects”." SocioEconomic Challenges 4, no. 2 (2020): 108–9. http://dx.doi.org/10.21272/sec.4(2).108-109.2020.

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Author: Tetyana Pimonenko, ORCID: https://orcid.org/0000-0001-6442-3684 Dr. Sc., Department of Marketing, Sumy State University, Ukraine Reviewer: Olena Shkarupa, ORCID: https://orcid.org/0000-0002-8990-0886 Dr. Sc., Department of Economics, Entrepreneurship and Business Administration, Sumy State University, Ukraine DOI: https://doi.org/10.21272/sec.4(2).108-109.2020 Download: Views: Downloads: 42 7 Abstract The author generalized the theoretical and methodological foundations of macroeconomic stability. The considered monograph analyzes the main scientific and methodological approaches to th
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Lyulyov, Oleksii. "MACROECONOMIC STABILITY AND SOCIAL PROGRESS IN THE EU MEMBER STATES AND UKRAINE." Annals of Marketing Management and Economics 4, no. 1 (2018): 53–64. http://dx.doi.org/10.22630/amme.2018.4.1.4.

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The main purpose of the study is the role and influence of social factors on macroeconomic stability. The research is based on the hypothesis that countries with greater macroeconomic stability achieve greater social progress. The integrated index of human capital is proposed as a target for the construction of an appropriate system for monitoring social progress, and in the future – identifying the impact on macroeconomic stability. The main stages of estimating the integral index of human capital are: identification of relevant indicators that will form each of the sub-indices; filtering the
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Kamyshnykova, Evelina. "MACROECONOMIC FORECASTS IN THE CONTEXT OF THE WAR IN UKRAINE: CAUTIOUS OPTIMISM VS. HOPEFUL PESSIMISM." REPORTER OF THE PRIAZOVSKYI STATE TECHNICAL UNIVERSITY Section: Economic sciences, no. 1(38) (May 25, 2023): 34–39. http://dx.doi.org/10.31498/2225-6725.1(38).2023.280731.

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How different variants of security risk shape the future of the Ukrainian economy? The war background with its built-in uncertainty factor makes the development of accurate forecasts more challenging. The paper proposes to solve the problem of short-term and medium-term forecast accuracy of macroeconomic indicators of Ukraine in the context of the war based on the use of a scenario approach. Four hypothetical scenarios regarding the development of socio-economic situation in Ukraine ranging from optimistic to pessimistic variants due to duration of large-scale war have been designed. Real GDP
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Porokhnya, Vasyl, and Oleksandr Ostapenko. "Neural network and index forecasting of the strategies of development of the armed forces of Ukraine depending on their own economic opportunities and encroachments of the states of aggressors." SHS Web of Conferences 65 (2019): 04004. http://dx.doi.org/10.1051/shsconf/20196504004.

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Ukraine has a relative drawback in the economic defense capabilities, which needs to be addressed by raising the indicators of macroeconomic development, innovation, and economic potential, social health of the population of the state, and the support of the Armed Forces of Ukraine, by the state. The estimation of the defense capability of states like Ukraine, Poland, Russia and Turkey is made on the basis of the developed methodological approach to the overall representation of the health of the economies of the states and their defense capabilities using the method of constructing petal diag
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Mazhara, G., and M. Zavalna. "Macroeconomic Security of Ukraine: Analysis of Dynamics and Approach to Defining Key Indicators." Economic Herald of the Donbas, no. 3 (77) (2024): 4–12. https://doi.org/10.12958/1817-3772-2024-3(77)-4-12.

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The article is dedicated to highlighting the pressing issues of Ukraine's macroeconomic security, which have become particularly critical due to external economic shocks and the extensive consequences of war. This study conducted a detailed analysis of the dynamics of key macroeconomic security indicators for the period 2013–2023, covering economic crises, the COVID-19 pandemic, and the full-scale invasion by the Russian Federation. The analysis results revealed that most indicators were already at critical and dangerous levels during 2013–2021, with the situation deteriorating significantly i
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MARSHALOK, Taras. "ANALYSIS OF FISCAL POLICY AND MACROECONOMIC SITUATION IN UKRAINE IN THE CONDITIONS OF CROWN CRISIS." WORLD OF FINANCE, no. 1(66) (2021): 102–11. http://dx.doi.org/10.35774/sf2021.01.102.

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Introduction. The spread of coronavirus infection has caused significant economic and social problems in the global dimension. The world economy suffered significant losses during 2020 and, according to analysts, will shrink by about 4.9% compared to 2019. Coronavirus disease has caused the most damage to the tourism, hotel and restaurant, transport sectors of the economy in almost all countries of the world, the virus has a significant impact on business activity and welfare of citizens. Given that Ukraine is a subject of world economic relations, the corona crisis has a significant negative
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Khalatur, Svitlana, Galina Pavlova, and Kateryna Zhylenko. "The role of some indicators of financial security in Ukraine in the context of transnationalization and national interests." Investment Management and Financial Innovations 15, no. 3 (2018): 237–48. http://dx.doi.org/10.21511/imfi.15(3).2018.20.

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The article analyzes some indicators of Ukraine’s financial security in the context of transnationalization and national interests. On the basis of the obtained results, the role of financial security in the context of transnationalization and national interests has been determined, directions for strengthening the financial security of the country have been proposed.The main objective of the study is to determine the role of Ukraine’s financial security in the context of transnationalization and national interests, based on the study and evaluation of some financial security indicators. The m
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Kashcha, Mariia, and Vadym Dun. "The impact of indicators of macroeconomic stability on the destructive manifestation of Covid-19 in Ukraine." SocioEconomic Challenges 6, no. 3 (2022): 107–13. http://dx.doi.org/10.21272/sec.6(3).107-113.2022.

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This article summarizes the arguments and counterarguments in the framework of the scientific discussion on the problem of identifying, using the Granger test, the components of macroeconomic stability of Ukraine most sensitive to the destructive impact of Covid-19. The study’s primary goal is to select from among many macroeconomic indicators precisely those that cause epidemiological surges in morbidity and mortality of the population using the example of the Covid-19 pandemic. The systematization of literary sources and approaches to solving the problem of finding determinants that affect t
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Rudenko, Ihor, Yurii Umantsiv, Ivan Cherlenyak, Vadym Emets, and Tamila Shcherbakova. "MACROECONOMIC DIMENSION OF INFORMATION TECHNOLOGY MARKET DEVELOPMENT." Financial and credit activity problems of theory and practice 2, no. 55 (2024): 377–90. http://dx.doi.org/10.55643/fcaptp.2.55.2024.4318.

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Information technologies play a crucial role in the modern economic system, acting as a driver for the development of the state. Information technologies are not only one of the most important factors stimulating economic growth but also contribute to the development of society, employment stimulation, and competition enhancement. The information technology market generates a significant portion of the GDP and export revenues. The analysis of the formation and development of the domestic information technology market is a key factor in understanding its importance in shaping the prospects of U
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AL- ABABNEH, Hassan Ali, Andrii TSIAPA, Nataliia RUDYK, Mykhaylo KAPYRULYA, and Rostyslav YATSUKH. "Modelling the Risks of the Exporter’s Company in Times of Crisis." Theoretical and Practical Research in Economic Fields 16, no. 1 (2025): 142. https://doi.org/10.14505/tpref.v16.1(33).12.

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Exporting companies face numerous risks generated both within the country and by importing countries. Therefore, early detection and analysis of national and international risks is relevant and urgent. The aim of the study is to analyse the relationship between the volume of Ukrainian exports and macroeconomic indicators of Ukraine and importing countries. This will reveal the potential impact of fluctuations in these indicators on changes in the level of major export risks. The study employed economic and statistical analysis, correlation and regression analyses. The study determined the key
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Fyliuk, Halyna, Vasylyna Kolosha, and Ihor Prytula. "CONTEMPORARY TRENDS IN THE BUSINESS ENVIRONMENT IN UKRAINE." THEORETICAL AND APPLIED ISSUES OF ECONOMICS, no. 48 (2024): 4–8. http://dx.doi.org/10.17721/tppe.2024.48.1.

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The article examines the impact of external and internal factors on the macroeconomic situation and business environment in Ukraine. It discusses the peculiarities of the business environment's reaction to unstable conditions, including the presence of financial reserves in companies, cost optimization, and management strategies. The influence of war on the demand and supply of services, changes in the economic structure, and new requirements for businesses are analyzed in detail. The size and basic characteristics of economic sectors are studied, and factors affecting business efficiency in U
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Bitkova, Tetiana, and Viktoriia Tretiak. "THE IMPACT OF THE CORONAVIRUS PANDEMIC ON MACROECONOMIC INDICATORS: ANALYSIS USING A SYSTEM-DYNAMIC APPROACH." 62, no. 62 (December 30, 2021): 107–21. http://dx.doi.org/10.26565/2524-2547-2021-62-10.

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The article considers theoretical provisions concerning the direct and indirect impact of epidemics / pandemics on the macroeconomic indicators of different countries. The aim of the study is to study how the pandemic affects macroeconomic indicators and the scale of this impact using a system-dynamic concept of simulation to assess long-term trends in the analyzed processes - including combined dynamics and interactions of demographic, epidemic and economic indicators. In particular, we have analyzed and compared supply and demand shocks and economic losses associated with epidemics of differ
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Sheliemina, Nataliia. "THE GOALS OF SUSTAINABLE DEVELOPMENT FOR UKRAINEIN THE CONTEXT OF THE DEPLOYMENT OF HEALTH CAREREFORM, THE ANALYSIS OFMEDICALEFFICIENCY AND THEROLE OF THE NATIONAL HEALTH SERVICEIN REGULATING PROCESSES IN WARTIME." Actual Problems of Economics 1, no. 264 (2023): 77–93. http://dx.doi.org/10.32752/1993-6788-2023-1-264-77-93.

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The purpose of this research is to analyze the achievement of sustainable development goals in the context of the deployment of health care reform in Ukraine. Also, to understand the role of the National Health Service of Ukraine in the implementation of the health care reform, which is currently undergoing the stage of stabilization and deployment. To study the impact of internal transformational processes in the industry on the achievement of global goals set at the macroeconomic level in the field of health care. To achieve the set goals we determined the main methods of calculating indicat
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Bezzubchenko, O., and O. Zakharova. "SOCIO-ECONOMIC DEVELOPMENT OF UKRAINE IN THE CONDITIONS OF INCREASING SECURITY ENVIRONMENT THREATS." Vìsnik Marìupolʹsʹkogo deržavnogo unìversitetu Serìâ Ekonomìka 12, no. 24 (2022): 108–20. http://dx.doi.org/10.34079/2226-2822-2022-12-24-108-120.

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The article analyzes the level of economic security of Ukraine based on the assessment of the dynamics of indices and sub-indices (in terms of components) in accordance with the Methodological recommendations of the Ministry of Economy of Ukraine. On the basis of the correlation analysis carried out in order to establish the components of security, which mainly determine the dynamics of the integral level of economic security, it was established that the change in the level of economic security correlates to the greatest degree with such components as macroeconomic security (strong direct corr
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Geršl, Adam, Pervin Dadashova, Yuliya Bazhenova, Vladyslav Filatov, Anatolii Hlazunov, and Roman Soltysiak. "A Heatmap for Monitoring Systemic Financial Stability Risks in Ukraine." Visnyk of the National Bank of Ukraine, no. 253 (June 30, 2022): 27–46. http://dx.doi.org/10.26531/vnbu2022.253.02.

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This study presents an updated risk map of the Ukrainian financial sector – an analytical tool for identifying and monitoring the buildup and materialization of systemic risks. The risk map methodology that the National Bank of Ukraine used until 2021 has been revised to ensure that risk assessment is based on reliable quantitative indicators rather than expert judgements, as well as to extend the list of risks considered. The instrument allows the stability of the financial system to be assessed across key risks, such as macroeconomic risk, the credit risks of households and non-financial cor
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KUZNYETSOVA, Lidiya. "Structural indicators to monitor macroeconomic misbalances in the investment sphere of Ukraine." Economy and forecasting 2019, no. 4 (2019): 52–66. http://dx.doi.org/10.15407/econforecast2019.04.052.

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KUZNYETSOVA, Lidiya. "Structural indicators to monitor macroeconomic misbalances in the investment sphere of Ukraine." Ekonomìka ì prognozuvannâ 2019, no. 4 (2019): 56–69. http://dx.doi.org/10.15407/eip2019.04.056.

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Herasymenko, Alina. "MACROECONOMIC ENVIRONMENT OF UKRAINE AND DYNAMICS OF ITS DEVELOPMENT IN THE CURRENT REALITIES." Economics & Education 8, no. 1 (2023): 38–44. http://dx.doi.org/10.30525/2500-946x/2023-1-5.

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The purpose of the article is to analyse the key macroeconomic factors that determine the general state and dynamics of the macroeconomic environment of Ukraine in modern realities. The methodological basis of the study is the generalisation of the results of applied research in the field of economics, scientific works, statistical data, which highlight some aspects of the development of the modern Ukrainian economy. Results. The modern conditions in which the Ukrainian economy is forced to operate against the backdrop of military escalation have a corresponding impact on the state and dynamic
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ADAMENKO, Viktor, Viktoriia ANDRIEIEVA, and Eleonora TERESHCHENKO. "Gross operating rate of trade entities." Economics. Finances. Law 5/3, no. - (2022): 31–36. http://dx.doi.org/10.37634/efp.2022.5(3).7.

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Introduction. In connection with the harmonization of Ukrainian official statistics according to European Union standards, "value added at production costs" included to enterprises economic indicators. However, the accepted monetary dimension limits its analytical significance. Analysis of recent research and publications. The EU practice, unlike Ukraine, supplements the main indicators of enterprises structural statistics with a relative indicatorthat based on value added at production costs – the indicator "gross operating rate". The purpose of the paper is to substantiate the feasibility of
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Lemishko, O. "Analytical research of the GDP distribution of the agrarian sector in Ukraine." Bìoekonomìka ta agrarnij bìznes 10, no. 2 (2019): 74–84. https://doi.org/10.31548/bioeconomy2019.02.074.

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The article is devoted to the analytical study of macroeconomic indicators characterizing the development of the national economy of Ukraine and the agrarian sector of the economy. The conducted research was based on information from open official sources and determined that in Ukraine, for the period 2001-2018, a stable level of growth of the domestic gross product was ensured. It was found that significant contribution to the positive stabilization of key indicators of the domestic economy, including GDP, was made by enterprises of agriculture, forestry, and fisheries. It is determined that
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Liliia, Нala, Panfilova Hanna, and Tsurikova Oksana. "Research of trends of development of the health insurance market in the conditions of socio-economic crisis in Ukraine." ScienceRise: Pharmaceutical Science, no. 5(21) (October 31, 2019): 4–11. https://doi.org/10.15587/2519-4852.2019.181831.

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<strong>Aim</strong>: to analyze the development trends of the health insurance market in the context of the socio-economic crisis in Ukraine. <strong>Materials and methods.</strong>&nbsp;The studies used data from the National Commission for State Regulation of Financial Services Markets and the League of Insurance Organizations of Ukraine on the results of the activities of insurers (number of concluded contracts, gross, net premiums and payments) for 2014&ndash;2018. Financial indicators were standardized in accordance with macroeconomic standards that were established in state budgets for
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Pirnykoza, Pavlo. "FISCAL STRATEGY OF UKRAINE UNDER GEOPOLITICAL CHANGES AND MARTIAL LAW." Economic Discourse, no. 3-4 (December 30, 2024): 164–75. https://doi.org/10.36742/2410-0919-2024-2-15.

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Introduction. The relevance of the study is determined by the necessity to adapt fiscal policy to emerging challenges, including an increasing budget deficit, rising debt burden, and a shrinking tax base. Methods. The study employs a comprehensive approach that includes a systemic analysis of macroeconomic indicators (GDP, debt burden, budget expenditure structure, and shadow economy levels), SWOT analysis to assess the strengths and weaknesses of fiscal policy, and a comparative analysis of the impact of crises on public finances. Empirical evaluation of key fiscal indicators is based on stat
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POSOKHOV, Ihor, and Svitlana LUKINA. "Macroeconomic problems of the integration of Ukraine into the EU." Economics. Finances. Law 4/2024, no. - (2024): 69–72. http://dx.doi.org/10.37634/efp.2024.4.14.

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Introduction. This paper examines the main macroeconomic problems of Ukraine's integration into the EU. So, to begin with, we outlined the main problems of the Ukrainian economy, which hinder the integration of Ukraine into the EU. The purpose of the paper is to study the main macroeconomic problems of Ukraine's integration into the EU and develop recommendations for their solution. Results. Next, we analysed the changes in the dynamics of Ukraine's foreign trade turnover with the EU countries. It was found that the military conflict in Ukraine resulted in a decrease in international trade wit
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Sadchykova, Iryna, Leonid Kolotylo, and Myroslav Penteleichuk. "Financial security of banking institutions in Ukraine in the conditions of macroeconomic instability." Scientific bulletin of Polissia, no. 2 (29) (March 6, 2025): 430–48. https://doi.org/10.25140/2410-9576-2024-2(29)-430-448.

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The article presents the interpretation of the concept of financial security of banking institutions by leading domestic scientists and provides the author's definition of the term. The essence and components of the financial security of banks are highlighted, namely: capitalization and capital adequacy; asset quality and credit risk management; liquidity and liquidity management; profitability and efficiency of activity; operational stability and cybersecurity. The relationship between the economic categories of macroeconomic stability and financial security of banks is revealed, their influe
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YANOVSKA, Vіktorіia, and Anna KYRYCHENKO. "TRANSPORT SERVICES MARKET BENCHMARKING: UKRAINE – EU COMPARATIVE ANALYSIS." Economy of Ukraine 2020, no. 12 (2020): 3–20. http://dx.doi.org/10.15407/economyukr.2020.12.003.

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In the crisis and post-crisis periods, in conditions of uncertainty and risk of new socio-economic normal, the problem of finding opportunities for economic growth and directions of strategic development of transport enterprises, in particular road transport, is especially relevant. The aim of the study is to provide an empirical, analytical and conceptual basis for the development strategy of road transport companies taking into account the modal features of freight transport in the European Union, as well as informing the scientific community and the public about quantitative and qualitative
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Olha, S. Brahina, and O. Zabrodna Iryna. "State and Efficiency of Industrial Development in Ukraine." Economics: time realities 2, no. 66 (2023): 20–25. https://doi.org/10.5281/zenodo.8154887.

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In the article, the authors analyzed the state and assessed the efficiency of industry in Ukraine. Within the framework of the study, an overview of the main macroeconomic indicators of the development of the economy of Ukraine was carried out, the determination of the actual value of which made it possible to form a prognosis of their changes for the future. In the process of research, the dynamics of the main indicators of the development of industrial enterprises of the country were analyzed, which allows us to judge the presence of both positive and negative changes. The analysis of the vo
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Kondur, Oksana, and Antonina Tomashevska. "Application Analysis of Key Macroeconomic Indicators in Terms of Regional Disparity." Journal of Vasyl Stefanyk Precarpathian National University 8, no. 3 (2021): 85–96. http://dx.doi.org/10.15330/jpnu.8.3.85-96.

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The purpose of the article is to study the causal links of the existence of disparities in the socio-economic development of the country's regions and identify key measures to overcome existing disparities in certain areas, taking into account systemic transformations in the modern economy. The main disparities in the regional development of Ukraine are considered and the criteria of regional disparities are defined. It is established that the largest disparities in regional development occur according to the indicators observed in the case of investment per capita. The regions-leaders and out
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Dashkov, Sviatoslav I. "Macroeconomic Indicators in Assessing the Country’s Export Orientedness." Business Inform 8, no. 547 (2023): 16–23. http://dx.doi.org/10.32983/2222-4459-2023-8-16-23.

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The article considers the prerequisites for ensuring the export orientedness of the country as a logical consequence of its economic stability on the basis of an analysis of macroeconomic indicators and their comparison with the indicators of developed countries of high-tech export specialization. The task of assessing the export orientation of a number of countries with developed economies and Ukraine has been solved using the gross domestic product per capita as one of the most common macroeconomic indicators of the state of the economy. A study of the relationship between GDP and the amount
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MANTSUROV, I.G., and V.I. MAKHONIN. "Statistical evaluation of inclusive growth and development of Ukraine in the global competitive world." Market Relations Development in Ukraine №3(226)2020 122 (May 15, 2020): 9–22. https://doi.org/10.5281/zenodo.3829425.

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The development of economic thought, accompanied by a series of crises in recent decades that posed burning global challenges, not only called into question the usefulness of such traditional macroeconomic indicators as GDP, but also led to the development of a new composite indicator of the balanced national economy development &ndash; the Inclusive Growth and Development Index (IDI). The article focuses on the integral assessment of the Ukrainian economic development model as well as its compliance with the standards of inclusive economic growth. The analysis showed that the current model of
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CHERKASHINA, K. F., and O.O. SOTNIK. "The relationship of the deposit base of banks in Ukraine with macroeconomic indicators." Market Relations Development in Ukraine №3(214)2019 132 (May 8, 2019): 33–40. https://doi.org/10.5281/zenodo.2678020.

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institutions. The purpose of the article is to determine the relationship of macroeconomic indicators, such as: the exchange rate, the size of loans, GDP, real wages and the consumer price index in Ukraine, with the deposit base of banks.These economic indicators are the driving force behind the functioning of the banking sector, because the size of the discount rate will be formed on the basis of their analysis. Methodology of the work. When selecting factors for building a model, methods of analysis and synthesis were used. For a more detailed study of the relationship of macroeconomic indic
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Zadoia, Anatolii O., Alisa S. Mahdich, and Oleksandr A. Zadoia. "MACROECONOMIC CRITERIA OF CURRENCY AND FINANCIAL CONVERGENCE: GUIDELINES FOR UKRAINE." Academic Review 2, no. 57 (2022): 7–23. http://dx.doi.org/10.32342/2074-5354-2022-2-57-1.

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The aim of this study was to identify the most problematic issues of compliance by European countries with macroeconomic convergence criteria, to determine promising ways to overcome them and to assess new opportunities that open up to Ukraine as a result of further European integration. Most research devoted to the study and achievement of monetary and financial convergence criteria focus on the candidates for joining the eurozone. However, the stability of monetary and financial system of the united Europe depends, to a certain extent, on how much the «old» members of the eurozone adhere to
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