Analytical Support for the Functioning of Collective Investment Funds in Ukraine
Journal Title: Oblik i finansi - Year 2022, Vol 1, Issue 3
Abstract
Collective Investment Funds play an essential role in stimulating the country's economic growth (CIF) and Asset Management Companies (AMC) – financial intermediaries that accumulate investors' funds and professionally invest them in various financial instruments. The article aims to analyze the analytical support, which is the basis for evaluating the work results and risks in the activities of collective investment funds and asset management companies. Relevant information for the analysis of the state and changes in the market of collective investment funds and asset management companies is taken from the Ukrainian Association of Investment Business website (https://www.uaib.com.ua). The article includes a classification of collective investment funds and an analysis of the dynamics of their number, as well as the volume of assets managed by asset management companies. The basic principles of accounting and reporting in collective investment funds were disclosed, and the indicators necessary for risk assessment were characterized. It has been established that the calculation of regulated indicators makes it possible to assess risks only in general. However, to measure and manage risks, it is advisable to develop a scale of dependence on changes in indicators (intensification of negative processes) and the level of risk (minimal, average, significant and critical). Based on the normatively established indicators, it is recommended to improve the method of assessing and measuring the risks of collective investment funds by calculating an integral indicator that would consider each indicator's weighting factor. As part of the risk management system, each level of risk should be offered an appropriate set of tools and measures for minimization.
Authors and Affiliations
Mariia Nashkerska & Nataliia Lytvynenko
Інструменти фінансової підтримки кредитування аграрної галузі в Україні
У процесі своєї діяльності майже кожен суб’єкт господарювання стикається з проблемою недостачі власних коштів. Особливо гостро ця проблема постає в аграрній галузі. Стримуючим фактором розвитку банківського кредитування...
Обліково-аналітичні інструменти вдосконалення бізнес-процесів підприємства
Метою статті є обґрунтування інструментів вдосконалення бізнес-процесів вітчизняних підприємств шляхом адаптації зарубіжних методик та таких, що вже вдосконалені і використовуються в Україні. Розкрито причини, що обумовл...
Methodological Basis for Studying the Financial Markets Transformation
Today, the development of financial markets is accompanied by various transformational processes that require the formation of an adequate theoretical and methodological basis for their research. That is why the article...
Sustainability Reporting as Mediation of Factors Affecting Financial Performance: Case in the Mining Sector in Indonesia
The problem of global warming due to environmental pollution has made it necessary for companies to be widely accountable to society about their performance. Therefore, today companies must not only report on the financi...
The Effect of Earnings Announcement on the Market Value of Corporate Stock
On June 18, 2024, Nvidia's stock was momentarily crowned as the world's most valuable stock – surpassing other technology companies. Accordingly, this paper aims to analyze the differential effect of Nvidia's earnings an...