Financial market imbalance: reasons and peculiarities of occurrence in Ukraine Cover Image

Financial market imbalance: reasons and peculiarities of occurrence in Ukraine
Financial market imbalance: reasons and peculiarities of occurrence in Ukraine

Author(s): Rostyslav Slav’yuk, Lyudmyla Shkvarchuk, Iryna Kondrat
Subject(s): Business Economy / Management, Economic development, Financial Markets
Published by: ТОВ “Консалтингово-видавнича компанія “Ділові перспективи”
Keywords: financial imbalance; financial institute; role of banks; financial market development; insurance market;

Summary/Abstract: Financial imbalance is the reason of a macroeconomic instability. This study aims at identifying the institutional causes of financial markets imbalance. The authors consider that financial intermediaries in Ukraine work in a speculative market segment carrying out high-risk transactions with the purpose of earning a huge profit. In fact, in Ukraine the role of these institutions in the investment process financing is insignificant. The authors show that soundness of banks along with the ease of access to loans and a low level of confidence in national banking system are the main reasons of instability in financial market in Ukraine. Due to scarcity of financial capacity and refusal to carry out transactions in a high-risk market segments, insurance companies are unable to entirely perform functions of risk redistribution. Competitiveness of Ukrainian financial market remains low with a limited financial services nomenclature and it may be considered to be attractive for potential foreign investors.

  • Issue Year: 14/2017
  • Issue No: 1.1
  • Page Range: 227-235
  • Page Count: 9
  • Language: English
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