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    <title>DSpace Фонд:</title>
    <link>https://repository.hneu.edu.ua/handle/123456789/33451</link>
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    <pubDate>Wed, 15 Jul 2026 12:32:54 GMT</pubDate>
    <dc:date>2026-07-15T12:32:54Z</dc:date>
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      <title>METHODOLOGICAL ASPECTS OF ENSURING THE STABILITY OF THE BANKING SYSTEM OF UKRAINE IN THE CONTEXT OF EUROPEAN INTEGRATION</title>
      <link>https://repository.hneu.edu.ua/handle/123456789/41353</link>
      <description>Назва: METHODOLOGICAL ASPECTS OF ENSURING THE STABILITY OF THE BANKING SYSTEM OF UKRAINE IN THE CONTEXT OF EUROPEAN INTEGRATION
Автори: Kolodiziev O.
Короткий огляд (реферат): Ensuring the financial stability of the banking system is a key prerequisite for macroeconomic resilience and sustainable economic development, particularly under conditions of military conflict and increasing European integration commitments. The article examines methodological approaches to ensuring the stability of the banking system of Ukraine under martial law and macroeconomic uncertainty. Despite the extensive literature on banking stability, the combined influence of military risks, macrofinancial shocks, and regulatory convergence with the European Union remains insufficiently explored. The study is based on official statistical data of the National Bank of Ukraine, the IMF, and international financial institutions for the period 2015–2024. The methodological framework includes methods of analysis and synthesis, comparative analysis of regulatory convergence, construction of an integral financial stability index, and multifactor regression modelling to assess the impact of internal and external determinants of banking stability. The results indicate that key internal determinants include capitalization (CAR), liquidity indicators (LCR, NSFR), profitability (ROA, ROE), and credit risk (NPL ratio). External factors such as GDP dynamics (5.3% growth in 2023), inflation (12.9%), exchange rate volatility, and geopolitical risks significantly influence the stability index. Regression estimates confirm the statistically significant impact of both banking and macrofinancial indicators. The study contributes to methodological approaches for assessing banking system stability under wartime conditions by integrating macrofinancial and institutional determinants into a unified framework. The results may support regulators in improving macroprudential policy, developing stress-testing scenarios, and adapting Ukrainian banking regulation to EU standards.</description>
      <pubDate>Thu, 01 Jan 2026 00:00:00 GMT</pubDate>
      <guid isPermaLink="false">https://repository.hneu.edu.ua/handle/123456789/41353</guid>
      <dc:date>2026-01-01T00:00:00Z</dc:date>
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    <item>
      <title>Adaptation of the Marketing Strategies to Customs Requirements in EU Countries</title>
      <link>https://repository.hneu.edu.ua/handle/123456789/41273</link>
      <description>Назва: Adaptation of the Marketing Strategies to Customs Requirements in EU Countries
Автори: Deineha I.; Volkova O.; Tyshchenko V.; Mohylova A.; Zavodovskyi S.
Короткий огляд (реферат): The article is devoted to the study of the processes of adapting corporate marketing strategies to the evolving customs requirements and regulations within the European Union countries. In today's dynamic international trade environment, ensuring successful market entry and sustainable presence requires a deep integration of marketing tools with customs compliance, tariff regulations, and logistical procedures. Digitalization and the harmonization of customs standards are becoming essential elements for achieving strategic competitive advantages. The article aims to analyze the impact of EU customs barriers and requirements on the formation of international marketing strategies and to identify effective mechanisms for their adaptation. The main tasks are to examine the key components of the EU customs environment, evaluate the effectiveness of adapting marketing mixes (product, price, place, promotion) to these requirements, and develop practical recommendations for businesses to minimize risks and optimize cross-border supply chains. Methods of logical, systemic, and comparative analysis of scientific literature, international regulatory acts, and statistical data were used during the research. The study showed that the proactive adaptation of marketing strategies to customs compliance significantly increases the efficiency of international operations. Implementing advanced digital solutions for customs data processing helps companies reduce documentation errors, accelerate border clearance, and lower operational costs, which directly enhances the market value of the product. Alignment of marketing planning with customs risk management is essential to ensure the commercial security and resilience of enterprises in the EU market. Despite its benefits, the adaptation process faces technical challenges, compliance complexities, and regulatory differences across member states. To maximize potential, it is important to combine flexible marketing positioning with strict adherence to customs regulations, ensuring an integrated approach to international business development.</description>
      <pubDate>Thu, 01 Jan 2026 00:00:00 GMT</pubDate>
      <guid isPermaLink="false">https://repository.hneu.edu.ua/handle/123456789/41273</guid>
      <dc:date>2026-01-01T00:00:00Z</dc:date>
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    <item>
      <title>ESG determinants in financial management and controling of bank</title>
      <link>https://repository.hneu.edu.ua/handle/123456789/41262</link>
      <description>Назва: ESG determinants in financial management and controling of bank
Автори: Savluk S.; Shulga N.; Kolodiziev O.; Krupka M.; Belianko L.; Brychka B.
Короткий огляд (реферат): Banks select environmentally and socially safe projects for investment and lending. The ESG reporting system developed in the EU for the implementation of ESG standards can be applied in Ukraine and other countries, with an emphasis on the disclosure of credit and investment aspects. At the same time, achieving full standardization of information on the consideration of ESG components in the system of internal banking management and controlling remains a pressing issue. Therefore, this article is aimed at: creating a landscape of ESG factors with the allocation of a new concept of OperESG related to operational activities; analyzing four European banks that practice comprehensive dis-closure of ESG information; and developing templates for aggregation of ESG indicators that can be useful for researchers, practitioners, and supervisory authorities, respectively. The results are presented in the context of the features of the application of ESG financial management and controlling tools. A matrix of the impact of ESG factors on the operational efficiency of banks is proposed for four segments of OperESG: direct environmental, indirect environmental, social, and managerial. Based on expert assessment, 27 components of OperESG were identified. Correlation analysis between ESG ratings and selected economic indicators – assets, profit before tax, return on assets and equity, and financial leverage – was conducted on a sample of 33 banks worldwide, the results of which may be useful for investors. A methodological approach to systematizing costs, forming eco-budgets, and developing a template for assessing key ESG performance indicators, as well as creating a single metric for plan/fact analysis in order to monitor the achievement of sustainable development goals by all economic agents, is proposed.</description>
      <pubDate>Thu, 01 Jan 2026 00:00:00 GMT</pubDate>
      <guid isPermaLink="false">https://repository.hneu.edu.ua/handle/123456789/41262</guid>
      <dc:date>2026-01-01T00:00:00Z</dc:date>
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    <item>
      <title>Розвиток екологічного права післявоєнного відновлення держави</title>
      <link>https://repository.hneu.edu.ua/handle/123456789/41259</link>
      <description>Назва: Розвиток екологічного права післявоєнного відновлення держави
Автори: Внукова Н. М.
Короткий огляд (реферат): Питання розвитку екологічного права у післявоєнному відновленні України є&#xD;
пріоритетними, оскільки військові дії спричинили значну шкоду довкіллю,&#xD;
означивши приклади екоциду. Важливим є розмежування збитків щодо екоциду і окремо воєнних злочинів. Міжнародним досягненням України в екологічному праві є те, що екоцид у правовому полі криміналізований. В умовах Зеленого переходу і розробки засад «зеленого» відновлення України з урахуванням нових вимог ЄС щодо технічних критеріїв сталості має бути удосконалено і розширено правове регулювання теми екоциду в екологічному праві.</description>
      <pubDate>Thu, 01 Jan 2026 00:00:00 GMT</pubDate>
      <guid isPermaLink="false">https://repository.hneu.edu.ua/handle/123456789/41259</guid>
      <dc:date>2026-01-01T00:00:00Z</dc:date>
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