Title Lietuvos finansinio stabilumo vertinimas
Translation of Title Financial stability assessment of Lithuania.
Authors Juodys, Dovydas
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Pages 95
Keywords [eng] financial stability ; aggregate financial stability index ; financial stability assessment
Abstract [eng] Master thesis presents the analysis of financial stability theory, financial stability methodology and determines the state of financial stability of Lithuania. In the first part of the Master thesis the analysis of scientific literature, the comparison and systemization of definitions and concepts, identification of factors and risks, which determine financial stability, is carried out. In the second part of the thesis the comparative analysis of the financial stability assessment and indicators is made considering the methodology of the International Monetary Fund (IMF), the European Central Bank (ECB) and various scholars. The most relevant and suitable methodology and indicators are selected and combined that consistently reflect the financial stability of the country and help identify the factors and risks that determine the financial stability. In the third part, the Lithuanian financial stability assessment for the period of 2008 – 2018 year is made using the aggregate financial stability index and the structural and dynamic analysis of financial and economic indicators. In addition to this, in the latter analytical part of Master thesis, the main factors and risks that affected the financial stability of Lithuania are presented.
Dissertation Institution Mykolo Romerio universitetas.
Type Master thesis
Language Lithuanian
Publication date 2018