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Загальна кількість знайдених документів : 1
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| Financial markets, institutions and risks : intern. research j..- Sumy Finansovi rynky, ustanovy ta ryzyky- Title.
- Contents.
- Lieonov S., Didenko I. Assessment of demand, supply and equilibrium price on the deposit market of Ukraine. - C. 5-13.
- Sanko H., Koldovskyi A. Comparative analysis of IFRS and US GAAP. - C. 14-21.
- Dovhan Zh., Kravchuk I., Karaś P. The financial instruments market – an institutional approach. - C. 22-28.
- Savchenko T., Kovács L. Trust in the banking sector: EU experience and evidence from Ukraine. - C. 29-42.
- Didenko O., Dordevic S. The optimization of banking regulation intensity from the perspective of finan-cial stability in banking sector: an empirical analysis. - C. 43-53.
- D’yakonova I., Guley A., Sheliuk A. Formation of complex model of analytical support of deposit bank management. - C. 54-60.
- Mussina A., Shkolnyk I., Bukhtiarova A. Trajectories of development of state-owned banks by analyzing the dynamics of patterns. - C. 61-71.
- Boiko A., Samusevych I. The role of tax competition between the countries of the world and the features of determining the main tax competitors of Ukraine among the European countries. - C. 72-79.
- Rekunenko I. Scientific methodological approach to defining projected indicator of financial market infrastructural efficiency. - C. 80-86.
- Antonov M., Lopa l. Regulation of the state debt stability. - C. 87-97.
| 2017 | Vol. 1 | Iss. 1
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