Respondent

Zhovtanetska Yaryna Vsevolodivna

Theme

Anticrisis management of financial activities of banks

Defence Date

29.05.2018

Annotation

The dissertation is devoted to the study of theoretical and methodological foundations of
crisis management of financial activities of banks. In this work the essence, characteristic features,
goals and tasks of crisis management of financial activity of banks are revealed. The types, stages,
models of banking crises and mechanisms of crisis management of financial activity of banks are
considered.
Methodical approaches to the substantiation of administrative decisions concerning the
implementation of anti-crisis measures are offered, the analysis and evaluation of financial
activity of Ukrainian banks in the context of crisis phenomena is estimated and the effectiveness
of crisis management is estimated, a comprehensive approach to the diagnosis of crisis
phenomena in the activities of banking institutions is formulated.
The directions of improvement of the mechanism of crisis management of financial
activities of banks by developing preventive and reactive measures, using econometric models for
forecasting the main indicators of financial activity of banks, the conceptual approach to the
development of financial strategy of crisis management in the banking sector of the Ukrainian
economy is recommended.
Key words: banking crisis, banking crisis models, insolvency, crisis management
mechanism, financial activity of banks, reactive and preventive management, indicators of
financial status of banks, risks and threats, crisis management instruments, financial strategy of
crisis management.

Dissertation File

Autosummary File