Financial Сrises in Ukraine: Challenges and Resilience Strategies
Andrii Kaminskyi () and
Olena Primierova ()
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Andrii Kaminskyi: Taras Shevchenko National University of Kyiv, Department of Economic Cybernetics
Olena Primierova: National University of Kyiv-Mohyla Academy, Department of Finance
Chapter 8 in Financial Stability and Financial Shocks, 2026, pp 203-232 from Springer
Abstract:
Abstract This chapter examines the evolution of Ukraine’s financial system through three major crisis episodes—2008–2009, 2014–2017, and 2022, linking precrisis structural features to shock transmission and policy responses. The distinctive features of these crises and the strategies implemented to overcome their profound impact on the country’s financial stability were explored. The chapter contributes an integrated narrative and comparable metrics that explain why crisis impacts differed across episodes and identifies priority reforms to enhance macro-financial stability in a war-affected emerging economy.
Keywords: Bank-based financial system; Dollarization; Foreign-exchange (FX) risk; Credit risk; Macroprudential policy; Nonperforming loan (NPL) ratio; Probability of default (PD); Loss given default (LGD); Asset quality review (AQR); Stress testing; Banking-sector cleanup; Inflation targeting; Wartime measures; Financial stability (search for similar items in EconPapers)
Date: 2026
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Persistent link: https://EconPapers.repec.org/RePEc:spr:conchp:978-3-032-14636-6_8
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DOI: 10.1007/978-3-032-14636-6_8
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