Please use this identifier to cite or link to this item: http://repository.hneu.edu.ua/handle/123456789/17422
Title: Developing the methodical approach to assessing the financial security of insurance market
Authors: Achkasova S. A.
Keywords: financial security
insurance market
capital ratios
threat identification
monitoring tools
Issue Date: 2017
Citation: Achkasova S. A. Developing the methodical approach to assessing the financial security of insurance market / S. A. Achkasova // Financial and credit activity: problems of theory and practice. – 2017. – Vol. 1. – № 22. – PP. 70-78.
Abstract: The methodical approach was developed to assess the financial security of the insurance market. This approach takes into account the structural composition of indicators and determined the average, median, mode and figure asymmetric distribution indicators to assess the financial security of insurance market as a monitoring tool to ensure the threat identification. Author determined that the preferred indicator for assessing the financial security of the insurance market is its market capitalization (share of equity capital in assets), because it can characterize the ability to withstand risks and to cover unexpected losses. Indicators of financial security of the insurance market of Ukraine during 2004 – 2015 were estimated.
URI: http://www.repository.hneu.edu.ua/jspui/handle/123456789/17422
Appears in Collections:Статті (МСіФП)



Items in DSpace are protected by copyright, with all rights reserved, unless otherwise indicated.