employment rate, social contribution and others) (Simionescu et al., 2017; Lazányi et al., 2017). Testing the hypothesis of FD's positive influence on different parameters of social and economic development was realized on the base of panel data analysis for the set of European countries
Intensification of financial development during last decade causes transformation of banking sector functioning. In particular, among the most significant changes over this period should be noted the next ones: convergence of financial market segments and appearance of cross-sector financial products, an increase of prevailing of financial sector in comparison with real economy and level of their interdependent, an intensification of crisis processes in financial and especially banking sector and a significant increase of the scale of the crisis consequences etc. thus, in such vulnerable conditions it is become very urgent to identify the relevant factors that can influence on the stability of banking sector, because its maintenance seems to be one of the most important preconditions of the stability of the national economy as a whole. Purpose of the article is to analyze key performance indicators of the Ukrainian banking system, clarify its main problems, identify relevant factors of the stability of the Ukrainian banking system and the character of their influence on the dependent variable. Realization of the mentioned above tasks was ensured by regression analysis (OLS regression). Analysis of key indicators that characterize current situation in the Ukrainian banking system found out the existence of numerous endogenous and exogenous problems, which, in turn, cause worsening most of analyzed indicators during 2013-2015. Unfavorable situation in Ukrainian banking system determined the necessity of identification of relevant factors of banking system stability to avoid transmission of financial shocks. According to the results of regression analysis on the stability of banking sector positively influence such factors as increase of interest margin to gross income ratio, reserves to assets ratio, number of branches, ratio of non-performing loans to total loans. Meanwhile, negative impact on stability of banking system has an increase of liquid assets to short term liabilities ratio and cost to income ratio. Empirical results of the research found out that grate damage to the stability of banking system has some parameters of banking activity, that’s why the main purpose of the regulation by the National Bank of Ukraine should be strengthening of macroprudential supervision and intensification of adaptation of Basel II and Basel III requirements.
About 10% of the world population suffered from hunger in 2018. Thereby, the main objective of this research is the identification of environmental drivers and inhibitors of a country’s food security in the short and long run. The Food Security Index (FSI) was constructed from 19 indicators using Principal Component Analysis. Identification of the short- and long-run relationships between the FSI and environmental factors was realized with the pooled mean-group estimator for 28 post-socialistic countries for 2000–2016. Empirical research results showed that a country’s food security in the short run is affected by greenhouse gas emissions but boosted by the increase of renewable energy production. Reduction of carbon dioxide emissions, electrification of rural populations, access to clean fuels, renewable energy production, arable land, and forest area growth might be essential tasks in order to ensure countries’ food security in the long-run.
The paper is devoted to the investigation of environmental, energy and economic security by multivariate analysis methods. A set of indicators selected for research conducting includes 9 parameters for each security type. Study sample is formed by data for 6 Eastern European countries (Ukraine, Moldova, Poland, Romania, Hungary and Slovak Republic) for the period 2000–2019. Empirical study was conducted by factor analysis, which allowed identifying the main components of environmental, energy and economic security. Comparison of the results obtained for the studied countries showed differentiation of individual profiles of such types of security. Investigation of integral vectors of environmental, energy and economic security showed the highest level of interaction between energy and environmental security and the lowest one between energy and economic security.
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