Bielenka, Ganna2013-01-112013-01-112013-01-11https://ekmair.ukma.edu.ua/handle/123456789/2015The goals of this study are, first, to develop the procedure of stress-testing of the Ukrainian banking system, which would be able to embrace major types of banking risks and to comprise the movements in the financial environment during the crisis, as well as the second-round effects; second, to apply the mentioned procedure in order to estimate the potential impact of the crisis; and third, to work out the practical recommendations for the NBU and the commercial banks, aimed on maintaining the banking system stability in the crisis conditions.enUkrainian banking systembanking riskscrisisукраїнська банківська системабанківські ризикикризаModeling of the Ukrainian Banking System During the Crisis: research proposalOther