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Banking Sector of Ukraine: Realities, Tendencies, Prospects

Author

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  • Doroshenko Hanna O.

    () (Kharkiv Institute of Finance of the Ukrainian State University of Finance and International Trade)

Abstract

The article analyses the modern state of the banking sector of Ukraine, its sources and prospects. It identifies that the main obstacle for stable development is dissociation of banking segments, absence of functional unity and orientation at formation of optimal conditions for satisfaction of financial requirements of the domestic economy. In order to create the efficient banking system it is necessary to introduce new banking supervision standards oriented at specialisation of the banking activity. The banking market should be segmented and both major banks that form the nucleus of the segment and minor ones operating in their niches should co-operate within each segment. Universal banks that have a developed branch network should unite specialised segments. Moreover, it is necessary to introduce changes into the mechanism of application of some instruments of money and loan regulation with respect to specialised banks and introduce some restrictions upon spheres of activity of the foreign capital.

Suggested Citation

  • Doroshenko Hanna O., 2014. "Banking Sector of Ukraine: Realities, Tendencies, Prospects," Business Inform, RESEARCH CENTRE FOR INDUSTRIAL DEVELOPMENT PROBLEMS of NAS (KHARKIV, UKRAINE), Kharkiv National University of Economics, issue 1, pages 232-236.
  • Handle: RePEc:idp:bizinf:y:2014:i:1:p:232_236
    as

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    References listed on IDEAS

    as
    1. Stephany Griffith-Jones & Krishnan Sharma, 2006. "GDP-Indexed Bonds: Making It Happen," Working Papers 21, United Nations, Department of Economics and Social Affairs.
    2. Ɓukasz Rawdanowicz & Eckhard Wurzel & Patrice Ollivaud, 2011. "Current Issues in Managing Government Debt and Assets," OECD Economics Department Working Papers 923, OECD Publishing.
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