Content
2022, Issue 254
- 4-14 Determinants of Corporate Credit Growth in Ukraine: The Application of Bank Lending Survey Data
by Anatolii Hlazunov - 15-28 Short-Term Forecasting of Global Energy and Metal Prices: VAR and VECM Approaches
by Diana Balioz - 29-42 Crypto Currency Price Forecast: Neural Network Perspectives
by Yuriy Kleban & Tetiana Stasiuk
2022, Issue 253
- 4-26 The Role of the Media in the Inflation Expectation Formation Process
by Tetiana Yukhymenko - 27-46 A Heatmap for Monitoring Systemic Financial Stability Risks in Ukraine
by Adam Gersl & Pervin Dadashova & Yuliya Bazhenova & Vladyslav Filatov & Anatolii Hlazunov & Roman Soltysiak
2021, Issue 252
- 4-36 A Suite of Models for CPI Forecasting
by Nadiia Shapovalenko - 37-55 Identifying Insurance Companies’ Business Models in Ukraine: Cluster Analysis and Machine Learning
by Oleksandr Tarnavskyi & Viktor Kolomiiets
2021, Issue 251
- 4-13 Determinants of Corporate Loan Interest Rate: Case of Ukraine
by Solomiya Shpak - 14-36 A BVAR Model for Forecasting Ukrainian Inflation and GDP
by Nadiia Shapovalenko - 37-54 A New Financial Stress Index for Ukraine
by Vladyslav Filatov
2020, Issue 250
- 4-14 How Does the Interest Rate Influence the Exchange Rate?
by Adam Hashchyshyn & Kateryna Marushchak & Oleksandr Sukhomlyn & Andrii Tarasenko - 15-32 The Missing “Cycle” Part and Other Thoughts on the Global Financial Cycle
by Olga Bondarenko - 33-44 Predicting Bank Defaults in Ukraine: A Macro-Micro Perspective
by Anatolii Hlazunov & Olesia Verchenko
2020, Issue 249
- 4-12 Consumer Lending in Ukraine: Estimation of the Equilibrium Level
by Attila Csajbok & Pervin Dadashova & Pavlo Shykin & Balazs Vonnak - 13-24 Data Science Opportunities at Central Banks: Overview
by Dmytro Krukovets - 25-49 The Impact of Weather Conditions on Economic Activity in Ukraine
by Hanna Yatsenko - 50-70 Foreign Assistance and Consumption Inequality: Does the Structure of Aid Matter?
by Nestor Cheryba
2019, Issue 248
- 4-10 Price-Setting in Ukraine: Evidence from Online Prices
by Anastasiia Antonova - 11-20 Short-Run Forecasting of Core Inflation in Ukraine: a Combined ARMA Approach
by Dmytro Krukovets & Olesia Verchenko
2019, Issue 247
- 4-18 How Trade Composition Affects Sensitivity to Foreign Shocks: Applying a Global VAR Model to Ukraine
by Oleksandr Faryna & Heli Simola - 19-37 The Effectiveness of the Monetary Transmission Mechanism in Ukraine since the Transition to Inflation Targeting
by Oleksandr Zholud & Volodymyr Lepushynskyi & Sergiy Nikolaychuk - 38-44 Estimating a Natural Level of Financial Dollarization in Ukraine
by Kostiantyn Khvedchuk & Valentyna Sinichenko & Barry Topf
2018, Issue 246
- 4-9 Applications for DSGE Models in Central Banking: Key Issues Explored During Research Workshop of the National Bank of Ukraine
by Sergii Kiiashko - 10-33 Macroeconomic Effects of Minimum Wage Increases in an Economy with Wage Underreporting
by Anastasiia Antonova - 34-49 Efficiency in the Market for Financial Advisory Services to Businesses
by Shaun Hargreaves-Heap & Oleksandr Talavera
2018, Issue 245
- 4-29 Land Reform in the Credit Cycle Framework: The Case of Ukraine
by Mykhailo Matvieiev - 30-44 Communicative Efficiency in Ukraine's Banking System: Evidence From Independent Auditor Reports
by Oleksandr Sukhomlyn - 45-63 Estimating the Fiscal Impulse in Ukraine
by Artem Vdovychenko
2018, Issue 244
- 4-24 Price Stability and Inflation Targeting in Commodity Economies: Macroeconomics versus a Political Economy?
by Viktor Koziuk - 25-43 How Does Fiscal Policy Affect GDP and Inflation in Ukraine?
by Artem Vdovychenko - 44-60 The Redistributive Effects of Monetary Policy Across Generations
by Olga Bondarenko
2018, Issue 243
- 4-20 A Neutral Real Interest Rate in the Case of a Small Open Economy: Application to Ukraine
by Anton Grui & Volodymyr Lepushynskyi & Sergiy Nikolaychuk - 21-32 What Drives the Difference between Online and Official Price Indexes?
by Oleksandr Faryna & Oleksandr Talavera & Tetiana Yukhymenko - 33-42 Macroeconomic Effects of Introducing a Capital Conservation Buffer in the Ukrainian Banking Sector
by Pervin Dadashova & Magnus Jonsson & Hanna Onyshchenko
2017, Issue 242
- 5-13 Nowcasting Ukraine's GDP Using a Factor-Augmented VAR (FAVAR) Model
by Anton Grui & Roman Lysenko - 14-27 Evolving Ukraine’s Deposit Guarantee System Towards Global Standards: A Macroprudential Perspective
by Andriy Danylenko - 28-48 Behavioral Finance: Household Investment and Borrowing Decisions
by Pavlo Illiashenko
2017, Issue 241
- 5-20 Do Firm-Bank Relationships Affect Corporate Cash Holdings?
by Andriy Tsapin - 21-32 How Does Credit Risk Influence Liquidity Risk? Evidence from Ukrainian Banks
by Ruoyu Cai & Mao Zhang - 33-46 The Impact of Anticipated and Unanticipated Exchange Rate Variability in Ukraine
by Viktor Shevchuk
2017, Issue 240
- 5-13 A Financial Stress Index for Ukraine
by Lesia Tyshchenko & Attila Csajbok - 14-21 Predicting the Utilization Rate and Risk Measures of Committed Credit Facilities
by Ihor Voloshyn - 22-35 Fiscal Policy Reaction Function and Sustainability of Fiscal Policy in Ukraine
by Artem Vdovychenko
2017, Issue 239
- 6-27 Central Bank Independence and Financial Stability: Orthodox and Heterodox Approaches
by Viktor Koziuk - 28-54 Behavioral Finance: History and Foundations
by Pavlo Illiashenko - 55-65 Stock-Flow Consistent Modeling of Default Events Sequence in a Closed Economy
by Ihor Voloshyn
2016, Issue 238
- 6-12 Cashless Society and De-dollarization in Ukraine. What is Missing from Present Discussions?
by Marko Skreb & Kostiantyn Khvedchuk - 13-38 Ukrainian Banks' Business Models Clustering: Application of Kohonen Neural Networks
by Vladyslav Rashkovan & Dmytro Pokidin - 39-56 Applying Foreign Exchange Interventions as an Additional Instrument Under Inflation Targeting: The Case of Ukraine
by Anton Grui & Volodymyr Lepushynskyi
2016, Issue 237
- 6-19 The NBU's Balance Sheet: Before, During, and After the Crisis
by Iryna Kachur & Volodymyr Lepushynskyi & Robert Zammit - 20-26 Economic Impact of the Recent Decrease in Social Security Contributions in Ukraine
by Philipp Engler & Simon Voigts & Robert Kirchner & Oleksandra Betliy - 27-41 Quasi-Competitiveness of the Audit Services Market in Ukraine: The Aspect of European Integration
by Inna Makarenko & Oleksiy Plastun
2016, Issue 236
- 6-18 Transformation of Central Banking. Annual Research Conference of the NBU. Key Issues
by Sergiy Nikolaychuk & Roman Pidvysotskyy - 19-29 Institutional Set-Up and Mandates of Macroprudential Authorities: International Experience and Benchmarks for Ukraine
by Andriy Danylenko & Viktoriia Sanzharovska - 30-42 Nonlinear Exchange Rate Pass-Through to Domestic Prices in Ukraine
by Oleksandr Faryna
2016, Issue 235
- 6-25 Independence of Central Banks in Commodity Economies
by Viktor Koziuk - 26-42 International Experience of Capital Flows Liberalization
by Maria Repko & Oleksandr Kashko & Irina Piontkivska - 43-56 Nowcasting of Economic Development Indicators Using the NBU’s Business Survey Results
by Roman Lysenko & Nataliia Kolesnichenko
2015, Issue 234
- 6-38 Concentration of Ukraine’s Banking System: Myths and Facts
by Vladyslav Rashkovan & Roman Kornyliuk - 39-51 The NBU Approach to Stress Testing the Ukrainian Banking System
by Yuliia Diuba & Hanna Murina - 52-72 National Bank of Ukraine Econometric Model for the Assessment of Banks’ Credit Risk and Support Vector Machine Alternative
by Dmytro Pokidin
2015, Issue 233
- 6-23 Inflation Expectations in Ukraine: A Long Path to Anchoring?
by Olivier Coibion & Yuriy Gorodnichenko - 24-38 A Strategic Document on Monetary Policy for the Period of the Inflation Targeting Adoption in Ukraine
by Volodymyr Lepushynskyi - 39-53 Inflation Targeting Experience: Lessons for Ukraine
by David Vavra - 54-64 Using Macroeconomic Models for Monetary Policy in Ukraine
by Sergiy Nikolaychuk & Yurii Sholomytskyi