METHODOLOGICAL TOOLKIT FOR ASSESSING FINANCIAL POTENTIAL IN THE CONTEXT OF MONITORING THE EFFICIENCY OF THE FINANCIAL STRATEGY OF THE ELECTRICITY INDUSTRY ENTERPRISE

Maryna Maryna V. Savchenko, Oleksandr Kotsemyr
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Abstract

The article substantiates that the development of the financial architecture, being a component of overall economic stability and financial development, reaches the optimal level with the help of state regulation and the implementation of financial policy. The proposed scientific-methodical approach to assessing the development of the financial architecture is based on the calculation of the composite index of the development of the financial architecture - as a symbiosis of the sub-indices of the following components: banking, budgetary, non-banking, currency, money credit and stock market components. The algorithm of the scientific and methodical approach includes the following stages: the selection of indicators for assessing the development of the financial architecture - in total, the use of 29 indicators is proposed for six sub-indices; normalization of single indicators taking into account the type of their influence on the development of the financial architecture; block assessment taking into account the weight of individual indicators of the development of the financial architecture for each sub-index; calculation of the composite index of financial architecture development; determination of zones of development of financial architecture in accordance with the limit values and identification of the obtained values of the composite index for a certain zone. Approbation of the proposed scientific and methodological approach to assessing the development of the financial architecture for 2016-2021 was carried out. According to the results of the assessment, it was established that the development of the financial architecture of Ukraine was the highest in 2020 and was characterized as satisfactory.
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在监测电力工业企业财务战略效率的背景下评估财务潜力的方法工具包
金融架构的发展是经济稳定和金融发展的重要组成部分,在国家调控和金融政策的实施下,金融架构的发展达到了最佳水平。拟议的评估金融架构发展的科学方法是基于金融架构发展的综合指数的计算-作为以下组成部分的子指数的共生:银行,预算,非银行,货币,货币信贷和股票市场组成部分。科学和有条理的方法的算法包括以下几个阶段:选择评估金融架构发展的指标-总共建议使用29个指标用于6个子指数;考虑到单一指标对金融架构发展的影响类型,使其正常化;分块评估考虑了各个指标的权重,为每个分项指标制定金融架构;金融建筑发展综合指数的计算根据限定值确定金融建筑的发展区域,并对某一区域的综合指数得出的值进行识别。批准了评估2016-2021年金融架构发展的科学方法建议。根据评估结果,确定乌克兰金融架构的发展在2020年是最高的,并被认为是令人满意的。
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