IMPLEMENTATION OF FOREIGN EXPERIENCE IN RISK-MANAGEMENT REGULATION FOR SECURITIES FIRMS
Journal Title: Вісник Одеського національного університету. Економіка. - Year 2017, Vol 22, Issue 11
Abstract
The article is about possible ways of using foreign experience in order to improve risk-management regulation for Ukrainian securities firms. The author analyzes current Ukrainian legislation, which requires risk-taxonomy alignment with the best international practices. New instruments of risk-management should be introduced, such as stress-testing and position limits. The National Commission on securities and stock market should take a more proactive position.
Authors and Affiliations
I. O. Kalashnyk
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