Індекс фінансового циклу України
a Карлів університет, Прага, Чехія
b Національний банк України, Київ, Україна
c Національний університет "Києво-Могилянська академія", Київ, Україна
d Київська школа економіки, Київ, Україна
e Київський національний університет імені Тараса Шевченка, Київ, Україна
Анотація

У дослідженні представлено індекс фінансового циклу, розроблений для визначення позиції української економіки відносно фінансового циклу. Індекс включає 16 індикаторів, об’єднаних у чотири субіндекси, що відображають циклічні системні ризики, зумовлені надмірним борговим навантаженням приватного сектору, пом’якшенням умов кредитування, надмірним зростанням цін на нерухомість та макроекономічними дисбалансами. Цей показник фінансового циклу може використовуватися як один з орієнтирів під час прийняття рішень із застосування проциклічних пруденційних інструментів для запобігання накопиченню циклічних системних ризиків та своєчасної стабілізації фінансової системи.

Дати публікації
Отримано 10 September 2024
Прийнято до публікації 24 January 2025
Опубліковано онлайн 1 April 2025
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Цитування
Цитуйте як: Geršl, A., Dadashova, P., Bazhenova, Y., Hlazunov, A., Krasovytskyi, D. (2025). The Financial Cycle Index of Ukraine. Visnyk of the National Bank of Ukraine (Working Papers, 2025/01). https://doi.org/10.26531/vnbu2025.wp01
Формат цитування

Метрики
Література

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