Trends in the developing Ukrainian non-bank financial service markets assessed using a mixture separation method

Author:

Vnukova Nataliya1ORCID,Bacho Robert2ORCID

Affiliation:

1. Doctor of Economics, Professor, Simon Kuznets Kharkiv National University of Economics, Kharkiv

2. Doctor of Economics, Professor, University of Nyíregyháza

Abstract

Non-bank financial institutions play an important role in the non-bank financial service markets expressed in expanding the access to financial services for individuals and legal entities. The non-bank financial service markets demonstrate their performance peculiarities in the pre-crisis and post-crisis periods that bring up to date the need to form a scientific presentation of their development trends. Therefore, it is necessary to provide scientific background and identify the regress and progress processes in the non-bank financial service markets. The research aim is to develop an analytical approach to determining the peculiarities of the development processes in the non-bank financial service markets. The research assesses the key indicators of the non-bank financial service markets in terms of quantity by dividing a set of values into groups by cluster analysis and multidimensional object clustering by a system of indicators, as well as identifying the progress and regress patterns in the non-bank financial service markets. Achieving the research results requires taking into account the above-mentioned objectives fulfilled in seven stages. The research results reflect the influence on the financial service markets exerted by the governmental regulation policy and the consumer protection level in these markets.

Publisher

LLC CPC Business Perspectives

Reference19 articles.

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3. Brucker, P. (1974). On the complexity of clustering problems (pp. 45–54). In Optimizations and Operations Research. Springer.

4. Čihák, M., & Podpiera, R. (2006). Is One Watchdog Better than Three? International Experience with Integrated Financial-Sector Supervision. Czech Journal of Economics and Finance, 56(3–4), 102–126. - https://journal.fsv.cuni.cz/mag/article/show/id/1048

5. Goodhart, C., & Тsomocos, D. (2012). Cheltenham: Financial Stability in Practice. Edward Elgar Publishing.

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