Threats to the Financial Security of Ukraine

Hanziuk Svitlana
{"title":"Threats to the Financial Security of Ukraine","authors":"Hanziuk Svitlana","doi":"10.31521/modecon.v38(2023)-04","DOIUrl":null,"url":null,"abstract":"Abstract. Introduction. In the conditions of deepening financial instability of our country, increasing threats to all levels of security, it is important to constantly analyze the values of the main indicators of the country's financial security and identify potential threats, since in order to implement effective mechanisms for stabilizing the financial system, it is necessary to dynamically assess the most dangerous risks for its functioning. Purpose. The purpose of the study is to identify and analyze potential threats to the country's financial security before and after a full-scale invasion of the Russian Federation through a system of indicators. Results. Based on the analysis of changes in the country's financial security indicators for the period before and after the beginning of the full-scale invasion of the Russian Federation, dangerous zones and threats to the state's financial security were identified: the debt burden on the state budget, the level of inflation, lending by banks to the real sector of the economy, the dependence of the banking system on foreign capital and the level doubtful debt in the credit portfolio of banks. The situation is related to a full-scale war and forces Ukraine to build up debt to finance hostilities and solve important social issues in conditions of uncertainty, which in the long run, without the possibility of debt cancellation, will have a disincentive effect on the economy. The safe zone includes the share of domestic state loan bonds and international reserves. The forecast of indicators of financial security that were in the critical zone for 2023, using analytical alignment of the dynamic series, demonstrated the deterioration of the values of these indicators. Conclusions. 2022 is expected to be a critical year for most indicators of the country's financial security. It is proposed to implement transformational measures that would take into account the changes taking place in the market of financial services due to the emergence of problems, first of all, resource provision. It is recommended to regulate the regulatory and legal field regarding financial security during martial law and detailing the threats that arose during the war.","PeriodicalId":201493,"journal":{"name":"Modern Economics","volume":"44 1","pages":"0"},"PeriodicalIF":0.0000,"publicationDate":"2023-04-20","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":"0","resultStr":null,"platform":"Semanticscholar","paperid":null,"PeriodicalName":"Modern Economics","FirstCategoryId":"1085","ListUrlMain":"https://doi.org/10.31521/modecon.v38(2023)-04","RegionNum":0,"RegionCategory":null,"ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":null,"EPubDate":"","PubModel":"","JCR":"","JCRName":"","Score":null,"Total":0}
引用次数: 0

Abstract

Abstract. Introduction. In the conditions of deepening financial instability of our country, increasing threats to all levels of security, it is important to constantly analyze the values of the main indicators of the country's financial security and identify potential threats, since in order to implement effective mechanisms for stabilizing the financial system, it is necessary to dynamically assess the most dangerous risks for its functioning. Purpose. The purpose of the study is to identify and analyze potential threats to the country's financial security before and after a full-scale invasion of the Russian Federation through a system of indicators. Results. Based on the analysis of changes in the country's financial security indicators for the period before and after the beginning of the full-scale invasion of the Russian Federation, dangerous zones and threats to the state's financial security were identified: the debt burden on the state budget, the level of inflation, lending by banks to the real sector of the economy, the dependence of the banking system on foreign capital and the level doubtful debt in the credit portfolio of banks. The situation is related to a full-scale war and forces Ukraine to build up debt to finance hostilities and solve important social issues in conditions of uncertainty, which in the long run, without the possibility of debt cancellation, will have a disincentive effect on the economy. The safe zone includes the share of domestic state loan bonds and international reserves. The forecast of indicators of financial security that were in the critical zone for 2023, using analytical alignment of the dynamic series, demonstrated the deterioration of the values of these indicators. Conclusions. 2022 is expected to be a critical year for most indicators of the country's financial security. It is proposed to implement transformational measures that would take into account the changes taking place in the market of financial services due to the emergence of problems, first of all, resource provision. It is recommended to regulate the regulatory and legal field regarding financial security during martial law and detailing the threats that arose during the war.
查看原文
分享 分享
微信好友 朋友圈 QQ好友 复制链接
本刊更多论文
对乌克兰金融安全的威胁
摘要介绍。在我国金融不稳定加剧、各级安全威胁增加的情况下,不断分析国家金融安全主要指标的值并识别潜在威胁是很重要的,因为为了实施有效的稳定金融体系的机制,有必要动态评估其运行中最危险的风险。目的。这项研究的目的是通过一套指标系统,确定和分析全面入侵俄罗斯联邦前后对该国财政安全的潜在威胁。结果。根据对全面入侵俄罗斯联邦前后国家金融安全指标变化的分析,确定了国家金融安全的危险区域和威胁:国家预算的债务负担、通货膨胀水平、银行对实体经济部门的贷款、银行体系对外国资本的依赖程度以及银行信贷组合中的可疑债务水平。这种局势与全面战争有关,并迫使乌克兰在不确定的条件下积累债务以资助敌对行动和解决重要的社会问题,从长远来看,如果没有取消债务的可能性,将对经济产生抑制作用。安全区包括国内国家贷款债券和国际储备的份额。利用动态序列分析对2023年处于临界区的金融安全指标进行预测,结果表明这些指标的数值呈现恶化趋势。2022年预计将是国家金融安全大多数指标的关键一年。建议实施转型措施,考虑到金融服务市场由于出现问题而发生的变化,首先是资源提供。建议在戒严令期间规范有关金融安全的监管和法律领域,并详细说明战争期间出现的威胁。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
求助全文
约1分钟内获得全文 去求助
来源期刊
自引率
0.00%
发文量
0
期刊最新文献
God’s Economic System Analysis of enterprise management innovation in the context of the Internet The use of digital technologies in the process of post-war reconstruction of Ukraine The development of institutions and practices to fight money laundering and terrorism financing: global experience and Ukrainian realities Specifics of Estimating the Economic Impact of Human Defense Resources Management on the Development of Certain Countries
×
引用
GB/T 7714-2015
复制
MLA
复制
APA
复制
导出至
BibTeX EndNote RefMan NoteFirst NoteExpress
×
×
提示
您的信息不完整,为了账户安全,请先补充。
现在去补充
×
提示
您因"违规操作"
具体请查看互助需知
我知道了
×
提示
现在去查看 取消
×
提示
确定
0
微信
客服QQ
Book学术公众号 扫码关注我们
反馈
×
意见反馈
请填写您的意见或建议
请填写您的手机或邮箱
已复制链接
已复制链接
快去分享给好友吧!
我知道了
×
扫码分享
扫码分享
Book学术官方微信
Book学术文献互助
Book学术文献互助群
群 号:481959085
Book学术
文献互助 智能选刊 最新文献 互助须知 联系我们:info@booksci.cn
Book学术提供免费学术资源搜索服务,方便国内外学者检索中英文文献。致力于提供最便捷和优质的服务体验。
Copyright © 2023 Book学术 All rights reserved.
ghs 京公网安备 11010802042870号 京ICP备2023020795号-1