Diagnostics of the financial crisis of Ukraine in the movement of the foreign economic integration

Yulia Sergiivna Rebryk, Alina Vitaliivna Syrytsya


Abstract


The article deals with the essence of the concept of «financial crisis» and highlights different approaches to its treatment. The factors of financial crisis in the country are explored and divided into two groups: external and internal. A model of early warning signal about the crisis in the Ukraine which is based on the nonparametric statistics method is characterized and built. The most appropriate indicators of the financial crisis of the country and their thresholds are determined. Own mathematical model of the financial crisis diagnostics in Ukraine based on the calculation of the crisis composite indicator is developed. The good predictive results after the calculations which can show current financial situation in Ukraine are received. 


Keywords


the financial crisis; financial crises factors; preventive diagnostics; composite indicator

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References


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Articles are distributed under Creative Commons Attribution  International 4.0 (CC-BY-NC 4.0) 


Science Works Journal "Ekonomichnyy analiz"

ISSN 1993-0259 (Print)  ISSN 2219-4649 (Online) DOI: 10.35774/econa


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