10 found
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  1. The impact of collaboration strategy in the field of innovation on the effectiveness of organizational structure of healthcare institutions.Tatyana Grynko, Tetiana Shevchenko, Roman Pavlov, Vladyslav Shevchenko & Dariusz Pawliszczy - 2020 - Knowledge and Performance Management 4 (1):37-51.
    The need for innovative development of healthcare institutions is determined by the necessity to increase the efficiency of organizational processes based on the formation of new models of cooperation, which will make it possible to get access to new technologies and knowledge. The goal of the study is to determine the parameters of the impact of innovative open cooperation strategy and the strategy of innovative closed cooperation of healthcare institutions on the effectiveness of their organizational structure in the context of (...)
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  2. Influence of non-monetary information signals of the USA on the Ukrainian stock market volatility.Roman Pavlov, Tatyana Pavlova, Anna Lemberg, Oksana Levkovich & Iryna Kurinna - 2019 - Investment Management and Financial Innovations 16 (1):319-333.
    The Ukrainian PFTS stock index volatility reaction as a whole and its constituent economic sectors (“Basic Materials”, “Financials”, “Industrials”, “Oil & Gas”, “Telecommunications”, “Utilities”) to seven non-monetary US information signals (“Consumer price index”, “Personal spending”, “Unemployment rate”, “Gross domestic product”, “Industrial production”, “Consumer confidence”, “Housing starts”) was carried out for the period 2000–2017 on the basis of closing stock quotations in the trading day format. To assess the “surprise” component direct influence nature of the USA selected non-monetary information signals on (...)
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  3. Model substantiation of strategies of economic behavior in the context of increasing negative impact of environmental factors in the context of sustainable development.R. V. Ivanov, Tatyana Grynko, V. M. Porokhnya, Roman Pavlov & L. S. Golovkova - 2022 - IOP Conference Series: Earth and Environmental Science 1049:012041.
    The concept of sustainable development considers environmental, social and economic issues in general. And the goals of resource conservation and socio-economic development do not contradict each other, but contribute to mutual reinforcement. The purpose of this study is to build and test an economic and mathematical model for the formation of strategies for the behavior of an economic entity with an increase in the impact of negative environmental factors. The proposed strategies and their models are based on the income-expenditure balance (...)
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  4. Influence of monetary information signals of the USA on the Ukrainian stock market.Roman Pavlov, Tatyana Grynko, Tatyana Pavlova, Levkovich Oksana & Pawliszczy Dariusz - 2020 - Investment Management and Financial Innovations 17 (4):327-340.
    The stronger the level of economic integration between countries, the greater the need to study the formation patterns of the stock market reaction to the financial information signals. This concerns the Ukrainian stock market, which is now in its infancy, and which reaction to financial information signals is sometimes ambiguous. The research aims to identify the formation patterns of return and volatility indicators of the Ukrainian stock market reaction to the US financial information signals. To assess the direct nature of (...)
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  5. Кредитні рейтингові агентства та фінансова безпека емітентів цінних паперів з позицій моделі «Les economies de la grandeur» французського соціологічного неоінституціоналізму.Roman Pavlov, Tatyana Pavlova & Oksana Levkovich - 1999 - In Roman Pavlov, Tatyana Pavlova & Oksana Levkovich (eds.), Сучасні трансформації організаційно-економічного механізму менеджменту та логістики суб’єктів підприємництва в системі економічної безпеки України: колект. моногр. pp. 417-435.
    Авторами розглянуто вплив провідних світових кредитних рейтингових агентств на фінансову безпеку емітентів цінних паперів. Обґрунтовано перформативний характер діяльності кредитних рейтингових агентств з позицій моделі «Les economies de la grandeur» нового соціологічного французького інституціоналізму, що дає змогу розв’язати протиріччя щодо сильної опозиції стосовно їх функціонування з одночасним збереженням діючої системи нормативного використання кредитних рейтингів.
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  6. MORAL EMOTIONS PHENOMENON WITH POSITIVE VALENCE AS A SOCIAL BEHAVIOR INCENTIVE.Tatyana Pavlova, Roman Pavlov & Valentyn Khmarskyi - 2021 - Epistemological studies in Philosophy, Social and Political Sciences 2 (4):26-36.
    The study aims at determining the role and significance of such moral emotions as nobility, gratitude, admiration for the socially significant behavior of a person in society. That involves identifying a close relationship between those emotions and personality’s social behavior and that they can be one of the main incentives for socially significant behavior – theoretical basis. The importance of ethical emotions with positive valence when making decisions with their implementation in society determines the research’s theoretical and methodological basis. Those (...)
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  7. Ranking system for Ukrainian banks based on financial standing.V. Y. Khmarskyi & Roman Pavlov - 2016 - Actual Problems of Economics 184 (10):348-360.
    The paper provides a new approach to determining the financial standing of Ukrainian banks in the long and short terms. Using the European assessing indices and the national ones, a new ranking system is created. The authors ranked 20 biggest Ukrainian banks by assets and grouped them into corresponding financial groups.
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  8. Main characteristics of business models and risk profile of Ukrainian banks.E. Zarutska, Roman Pavlov, Tatyana Pavlova, D. Pawliszczy & B. Kuchmacz - 2020 - Financial and Credit Activity: Problems of Theory and Practice 2 (33):15-22.
    The article investigates the main characteristics of the financial stability of Ukrainian banks, their risk profile, structure of assets, liabilities, income, expenses based on the monthly reporting data for 2004-2020 (number of observations – 3 813). The Kohonen self-organizing map (SOM) toolkit is used to form homogeneous groups of banks based on a large number of financial indicators. The selected toolkit provides a convenient visualization of the results. Each bank occupies a specific place on the SOM. The close location of (...)
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  9. Сучасний ринок FOREX та методи прогнозування валютних курсів на ньому.Roman Pavlov, Кащин В.О & Смирнов Сергій Олександрович - 2010 - Економічний Простір 1 (39):15-20.
    Розглянуто теоретико-методологічні основи прогнозування валютних курсів на ринку Forex. Визначено особливості діяльності на ринку Forex та його переваги і недоліки серед інших валютних ринків. Розкрито сутність прогнозування в цілому та основні проблеми у прогнозуванні. Розглянуто основні методи прогнозування валютних курсів на ринку Forex та ступінь їх використання.
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  10. Evaluation of Ukrainian banks’ business models by the structural and functional groups analysis method.Olena Zarutska, Lyudmila Novikova, Roman Pavlov, Tatyana Pavlova & Oksana Levkovich - 2022 - Financial and Credit Activity Problems of Theory and Practice 4 (45):8-20.
    A method of identifying banks’ business models and studying the features of their risk profile, considering the system of indicators featuring the structure of assets, liabilities, income, expenses, and other qualitative indicators based on monthly statistical reporting. Kohonen's self-organizing maps (SOM) are used to process large data sets, revealing objects’ hidden features by forming homogeneous groups according to similar values of a large system of indicators. The choice of the system of indicators that play the most significant role in describing (...)
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