Abstract [eng] |
Master's thesis was divided into three sections. In the introduction, author reviews research relevance and describes research problem, object, purpose and main tasks. The first chapter analyzes scientific literature, defines concept of financial stability and financial system, examines ways in which financial stability is ensured. In the second chapter, methodology for financial stability assessment is analyzed and prepared. Author describes international organizations role in maintaining financial stability, also author reviews best practices of other countries and the most popular models for measuring financial stability. The third section analyzes Lithuania's financial stability for the 2008-2018 period. Analysis was made using aggregate financial stability index. The study identified main factors which had influence on index movement trend. At the end of the paper, conclusions and suggestions are presented. |