An assessment of Ukraine’s financial security: sectoral breakdown and general level

Svitlana Chorna
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Abstract

Financial security is characterized by the state's ability to ensure stability of the country's financial and economic development and includes the security of various economic activities and spheres of social life. The article assesses the security of the components of Ukraine’s financial sector and calculates the overall level of financial security in this country. The author considers the current mechanism for determining the level of financial security. To date, in Ukraine, the Methodology for determining the level of financial security is in force, which is approved by the Ministry of Economy based on the "Methodological recommendations for calculating the level of economic security of Ukraine" created according to a quantitative study of indicators characterizing the level of Ukraine’s overall economic security and that of financial security as its priority component. Calculated security levels of the financial sectors, namely those of the banking sector and the non-banking financial sector, as well as debt, budget, currency and monetary security. The most problematic is the debt sector whose security level averages 16.9% for the analyzed period. The overall level of financial security has a downward trend (44% in 2021). Ukraine's economy is not protected from financial threats and imbalances. The author identifies a few shortcomings in the above mentioned Methodology. As it was developed in 2013, its indicators no longer reflect the real situatioin in the country, while its methods mainly focus on analyzing financial indicators and ignore non-financial information, external factors, and the impact excerted on overall financial security by its individual components. The article points to the need to improve the mechanism of assessing the level of national financial security and provides a series of corresponding proposals.
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乌克兰金融安全评估:部门分类和总体水平
金融安全的特征是国家确保国家金融和经济发展稳定的能力,包括各种经济活动和社会生活领域的安全。本文评估了乌克兰金融部门组成部分的安全性,并计算了该国金融安全的总体水平。作者考虑了确定金融安全水平的现行机制。迄今为止,在乌克兰,确定财政安全水平的方法是有效的,经经济部根据“计算乌克兰经济安全水平的方法建议”核准,该建议是根据对乌克兰总体经济安全水平和财政安全作为其优先组成部分的指标进行定量研究而制定的。计算金融部门的安全水平,即银行部门和非银行金融部门的安全水平,以及债务、预算、货币和货币安全。问题最大的是债务领域,在分析期间的平均安全等级为16.9%。整体财务安全水平呈下降趋势(2021年为44%)。乌克兰的经济没有受到金融威胁和失衡的保护。作者指出了上述方法论中的一些缺点。由于2013年才发展起来,其指标已经不能反映国家的真实情况,其方法主要集中在财务指标的分析上,忽略了非财务信息、外部因素以及单个组成部分对整体金融安全的影响。文章指出了完善国家金融安全水平评估机制的必要性,并提出了一系列相应的建议。
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