|
№ 10/2015
2. Enhancing Financial Stability and Resilience: Macroprudential Policy, Tools and Systems for the Future : Special report of Working Group on Macroprudential Policy. (2010). Washington: Group of Thirty. Retrieved from www.group30.org/images/PDF/Macroprudential _Report_Final.pdf. 3. Guidance to Assess the Systemic Importance of Financial Institutions, Markets and Instruments: Initial Considerations. (2009). Washington : International Monetary Fund. Retrieved from www.bis.org/publ/othp07.pdf. 4. Key Aspects of Macroprudential Policy. (2013). IMF. Retrieved from www.imf.org/external/np/pp/eng/2013/061013B.pdf. 5. Blancher, N., Mitra, S., Morsy, H. (2013). Systemic Risk Monitoring (SysMo) Toolkit. IMF. Retrieved from www.imf.org/external/pubs/ft/wp/2013/wp13168.pdf. 6. International Convergence of Capital Measurement and Capital Standard. A Revised Framework. (2005). Basel Committee on Banking Supervision. Retrieved from www.bis.org/publ/bcbs118.pdf. 7. Basel III: A global regulatory framework for more resilient banks and banking systems. (2011). Basel Committee on Banking Supervision. Retrieved from www.bis.org/publ/bcbs189.pdf. 8. Global systemically important banks: updated assessment methodology and the higher loss absorbency requirement. (2013). Basel Committee on Banking Supervision. Retrieved from www.bis.org/publ/bcbs255.pdf. 9. Basel III: The Liquidity Coverage Ratio and liquidity risk monitoring tools. (2013). Basel Committee on Banking Supervision. Retrieved from www.bis.org/publ/bcbs238.pdf. 10. Osi?ski, J., Seal, K., Hoogduin, L. (2013). Macroprudential and Microprudential Policies: Toward Cohabitation. IMF. Retrieved from www.dsf.nl/wp-content/uploads/2014/10/DSF-Policy-Paper- No-37-Macroprudential-and-Microprudential-Policies-Toward-Cohabitation.pdf. 11. Arvai, Z., Prasad, A., Katayama, K. (2014). Macroprudential Policy in the GCC Countries. IMF Staff Discussion Note, SDN/14/01. 12. Rethinking Macro Policy II: First Steps and Early Lessons. (n. d.). Retrieved from www.imf.org/external/np/seminars/eng/2013/macro2/index.htm. 13. Naumenkova, S., Mishhenko, S. (2013). Regulirovanie denezhnogo obrashheniya na osnove ispol`zovaniya metodov i instrumentov denezhno-kreditnoj politiki [Regulation of circulation of money through the use of methods and instruments of monetary policy]. Vіsny`k Ky`yivs`koho nacіonal`noho unіversy`tetu іmenі Tarasa Shevchenka [Bulletin of Kyiv National Taras Shevchenko University], 6 (147), 66–72. Retrieved from bulletin-econom.univ.kiev.ua/articles/2013/147/...147.66-72.pdf [in Russian]. 14. Kovalenko, V., Harkusha, Yu. (2013). Teorety`chnі ta metody`chnі pіdxody` do ocіnyuvannya fіnansovoyi stabіl`nostі bankіvs`koyi sy`stemy` [Theoretical and methodological approaches to the assessment of financial stability of the banking system]. Vіsny`k Nacіonal`noho banku Ukrayiny` [Bulletin of the National Bank of Ukraine], 9, 35–40 [in Ukrainian]. 15. Yefy`menko, T. І. (2013). Fіnansy`. Byudzhet. Podatky`: nacіonal`na ta mіzhnarodna termіnolohіya [Finances. Budget. Taxes: national and international terminology] (Vol. 2, 2nd ed.) [in Ukrainian]. 16. Yefy`menko, T. І., Hasanov, S. S., Leonenko, P. M. (2014). Modernіzacіya fіnansovoyi sy`stemy` Ukrayiny` v procesі yevroіntehracіyi [Modernization of the financial system of Ukraine in European integration] (Vol. 2). Ky`yiv: Akademіya fіnansovoho upravlіnnya [in Ukrainian]. 17. Shklyar, A. І. (2014). Makroprudencіjne rehulyuvannya yak element zabezpechennya fіnansovoyi stabіl`nostі [Macroprudential regulation as part of financial stability]. Ekonomіka і prohnozuvannya [Economics and Forecasting], 3, 32–40 [in Ukrainian]. 18. Pry`mostka, L. O., Dy`ba, M. І., Chub, O. O. (2012). Rehulyuvannya dіyal`nostі bankіv v umovax hlobal`ny`x vy`kly`kіv [Regulation of banks in terms of global challenges]. Ky`yivs`ky`j nacіonal`ny`j ekonomіchny`j unіversy`tet іmenі Vady`ma Het`mana [Kyiv National Economic University]. [in Ukrainian]. 19. Goodhart, C. (2010). The Changing Role of Central Banks. BIS Working Papers, 326, 23. Retrieved from www.bis.org/publ/work326.pdf. 20. Dzhagityan, E`. P., Sil`vestrov, S. N. (2013). Smena paradigmy` bankovskogo regulirovaniya v SSHA: ot kratkosrochny`x vy`god k dolgosrochnomu upravleniyu riskami [Changing the paradigm of banking regulation in the United States: from short-term gains to long-term risk management]. Den`gi i kredit [Money and Credit], 8, 53–61 [in Russian]. 21. Derzhavny`j byudzhet і byudzhetna stratehіya v umovax ekonomіchny`x reform [State budget and the budgetary strategy in terms of economic reforms]. (2011). (Vol. 1). Ky`yiv: Akademіya fіnansovoho upravlіnnya [in Ukrainian]. 22. Naumenkova, S. V., Mіshhenko, S. V. (2011). Novі tendencіyi v monetarnіj polіty`cі ta dіyal`nostі central`ny`x bankіv u postkry`zovy`j perіod [New trends in monetary policy and central banking in the post-crisis period]. Bankіvs`ka sprava [Banking], 5, 12–29 [in Ukrainian]. 23. Moiseev, S. R. (n. d.). Makroprudencial`ny`e instrumenty` [Macroprudential tools]. retrieved from www.cbr.ru/ireception/terms_dfs.pdf www.cbr.ru/ireception/terms_dfs.pdf [in Russian]. 24. Mіshhenko, V. І., Naumenkova, S. V. (2014). Ponyattya sy`stemnoho ry`zy`ku ta pіdxody` do vy`znachennya sy`stemno znachushhy`x bankіv [The concept of systemic risk and systemic approaches to defining important banks]. Socіal`no-ekonomіchnі problemy` suchasnoho perіodu Ukrayiny`. Problemy` іntehracіyi Ukrayiny` u svіtovy`j ekonomіchny`j prostіr [Socio-economic problems of the modern period Ukraine. The problems of integration of Ukraine into the world economy], 1 (105), 186–196 [in Ukrainian]. 25. Naumenkova, S., Malyutin, O., Mishchenko, S. (2015). Transition to Inflation Targeting in Ukraine: New Tools for Monetary Policy. Bulletin of Taras Shevchenko National University of Kyiv. Series: Economics, 1 (166), 31–39. Retrieved from bulletin-econom.univ.kiev.ua/articles/2015/166/3.pdf/. 26. Rezul`taty` dіahnosty`ky` і stres-testuvannya bankіv Ukrayiny` [The results of diagnostic and stress testing of banks in Ukraine]. (n. d.). Nacіonal`ny`j bank Ukrayiny`. Retrieved from www.bank.gov.ua/article/10601231?annId=10601232. 27. Naumenkova, S. V., Cy`cy`k, K. Yu. (2014). Makroprudencіjny`j bankіvs`ky`j nahlyad ta umovy` zabezpechennya joho efekty`vnostі [Macro-prudential banking supervision and the condition of its effectiveness]. Економіка розвитку [Economics of Development], 4 (72), 65–72. Retrieved from www.ed.ksue.edu.ua/ER/knt/ee144_72/e144nau.pdf [in Ukrainian]. 28. Mіshhenko, V., Kry`lova, A. (2011). Metodolohіchnі zasady` zaprovadzhennya makroprudencіjnoho rehulyuvannya ta nahlyadu [Methodological principles introducing macro-prudential regulation and supervision]. Vіsny`k Nacіonal`noho banku Ukrayiny` [Bulletin of the National Bank of Ukraine], 3, 12–15 [in Ukrainian]. |