Staff and academic interests

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Намонюк Василь Євгенович
Vasyl Namoniuk
PhD in Economics
Head of the Department, Associate Professor
Research on the digitalization of international financial markets, financial innovations, sustainable development of the financial sector, international tax planning, and transnationalization of banking capital

Disciplines: "World Economy", "Fundamentals of International Microeconomics", "Principles of Microeconomics", "International Tax Management", "Mergers and Acquisitions in Global Capital Markets", "International Business Analysis and Consulting"

2005 – graduation with honours from the Faculty of International Relations of the Volyn National University named after Lesya Ukrainka. 

2008 - the PhD thesis defence on "Cross-border mergers and acquisitions of banks in the context of global competition".

2009-2011 - associate professor of the Department of International Economics, Deputy Dean of the Faculty of Economics and Taxation for scientific work at the National University of the State Tax Service of Ukraine. 

2011 – till now – assoc. prof., Taras Shevchenko National University of Kyiv.

Participated in projects under Horizon 2020, Erasmus+, Mevlana, GIZ, USAID, and International Renaissance Foundation programs. Expert of the Enterprise Europe Network (EU COSME Program).

Delivered lectures at universities and research institutions in the USA, China, Germany, Poland, Lithuania, Portugal, Turkey, and Hungary.

Author of over 60 scientific publications.

ORCID: 0000-0002-9454-6658

ResearcherID: I-1519-2018

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Рогач Олександр Ігорович
Oleksandr Rohach
Doctor of Economics
Professor
research on global issues of international economic relations and international finance, international investment, and the activities of multinational enterprises

Disciplines: "Transnationalisation of the World Economy", "Financial Management of Corporations", "International Financial Management", "Theories of Foreign Direct Investment".

Graduated from Taras Shevchenko National University of Kyiv (now Taras Shevchenko National University of Kyiv), Faculty of Economics in 1977. 1977-1980 - Postgraduate student at the Department of Political Economy, Faculty of Economics, Taras Shevchenko National University of Kyiv. In 1980, he defended his PhD thesis "Expansion of International Corporations in Asian Countries". Since 1980, he has been an assistant professor, and since 1986, an associate professor of international economic relations. In 1995 he defended his doctoral thesis "The Impact of Transnational Corporations on the Economic Development of Developing Countries". Since 1996, he has been a professor at the Department of International Economic Relations. Since 1999 - Head of the Department of International Monetary and Financial Relations (now the Department of International Finance). Winner of the Taras Shevchenko Prize of the Taras Shevchenko National University of Kyiv (2007), (2019). Excellence in Education of Ukraine. He is the author and co-author of more than 250 scientific papers.

He has taught and conducted research at many foreign universities:

  • 1991-1992 - University of Toronto (Canada)
  • 1997 - Japan Institute of International Affairs (Tokyo)
  • 2003 - University of Iowa (USA)
  • 2005 - University of Antwerp (Belgium) 2006-2007 - Kozani Institute of Technology (Greece)
  • 2007 - Liverpool John Moores University (UK)
  • 2009 - Keio University (Japan)
  • 2015 - University of Szczecin (Poland)
  • 2018-2019 - University of Western Macedonia (Greece)
  • 2020 - University of Wroclaw (Poland)
  • 2020-2021 - Chu Hai College of Higher Education (Hong Kong)
  • 2021-2022 - Chu Hai College of Higher Education (Hong Kong)

Participated in 7 international scientific and educational projects under the TEMPUS, TACIS, INTAS and other programmes. Coordinator from Ukraine of the Association of Central and Eastern European Universities (CEEUN).

Deputy Editor-in-Chief of the scientific journal Global Economy Review (Greece). Deputy editor-in-chief, member of the scientific council of the journal "Transitional Studies Review" (Italy, Transition Academy Press), member of the editorial board of the journals "International Relations", "Actual Problems of International Relations".

He has trained 27 PhDs and 3 doctorates.

Main publications:

Sidenko S.V., Rogach O.I. International financial centres. Textbook. Centre for Educational Literature. Kyiv, 2022, 264 p.

OI. Rohach P. V. Dziuba. Fundamentals of international investment management: a textbook. Kyiv: VPC "Kyiv University", 2021, 319 p.

Chan, T. M. H., Kopiyka, V., & Rogach, O. (Eds.). Financialisation and Deindustrialisation: Impact on Employment. Kyiv University Publishing and Polygraphic Centre, 2021. 437 p.

Іnternationalisation of the World Economy: Current Trends. Monograph.  Edited by E. Siskos and O. Rogach. Kastoria: Evkonomia, 2020. 336 p.

Multinational Enterprises and the Global Economy. Monograph, edited by O.I. Rogach. Kyiv: Centre for Educational Literature Publishing House, 2020, 368 p.

Multinational enterprises: a textbook. К., 2019. Theories of international business: textbook.                                                 

"International Portfolio Investments, K., 2018, (co-author - Associate Professor P. Dziuba).

Fundamentals of international finance: textbook. K., 2015 (ed., co-author).

Global Economy: Issues and Challenges of Post-Crisis Development. Monograph, 2015 (ed., co-author).

World Finance: Current Trends and Prospects for Development. Monograph. 2013 (ed., co-author).

International investment management. K., 2011 (co-authored).

Transnational corporations: a textbook. К., 2009.

Fundamentals of International Finance: Textbook. K., 2009 (ed., co-author).

Transnational corporations in the world economy. К., 2006.

International Investments: Theory and practice of business of transnational corporations: Textbook. К., 2005.

International Finance: Textbook. K., 2003 (ed., co-author).

Transnationalisation of the World Economy and Transition Economies: Textbook. K, 1999 (co-authored).

Developing Countries and Transnationalisation of the World Economy: A Study Guide, 1998 (in co-authorship).

Transnational corporations and economic growth. К., 1997.

ORCID: 0000-0002-7246-3245

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Циганов Сергій Андрійович
Serhii Tsyhanov
Doctor of Economics, Professor
Professor
issues of formation and development of financial and credit systems of the countries of the world and their integration into the global financial space, international finance and banking, innovation and investment development

Disciplines: "Monetary Policy Strategies of Foreign Countries", "Global Corporations in International Markets", "International Financial Markets and Banking", "International Finance", "International Payment Systems", "Operations in the Investment Markets of European Countries", "Monetary Systems of Foreign Countries", "Financial Systems of the World".

Education: Taras Shevchenko National University of Kyiv (now Taras Shevchenko National University of Kyiv), Faculty of Economics, 1986.

In 1990, he defended his PhD thesis on "The Impact of Distribution Relations on the Development of Labour Activism", and in 2007, he defended his doctoral thesis on "The Evolution of National Banking Systems in the Context of the Internationalisation of the World Economy".

At Kyiv University: in 1987-1990, he was a postgraduate student at the Department of Political Economy of the Faculty of Humanities of Taras Shevchenko National University of Kyiv. 1996-1999 - Doctoral student at the Department of Economic Theory, Faculty of Economics, Taras Shevchenko National University of Kyiv. From 1999-2000 - Associate Professor of the Department of Finance, Monetary Circulation and Credit of the Faculty of Economics, from 2000-2007 - Associate Professor of the Department of International Monetary and Financial Relations, since 2007 - Professor of the Department of International Finance of the Institute of International Relations.

Since 2007 - Member of the Specialised Academic Council D 26.001.02 for the defence of dissertations for the degree of Doctor (Candidate) of Economic Sciences in the speciality 08.00.02 - World Economy and International Economic Relations at the Institute of International Relations of Taras Shevchenko National University of Kyiv, since 2018 - Deputy Chairman of the Specialised Academic Council D 26.001.02.

Since 2018, he has been a member of the expert council for the examination of dissertations of the Ministry of Education and Science of Ukraine on macroeconomics, world economy and socio-economic development.

Vice President of the Ukrainian Association of International Economists.

Academician of the Academy of Sciences of Higher Education of Ukraine (2011).

Member of the editorial boards of scientific publications:

  • Scientific journal "Bulletin of Taras Shevchenko National University of Kyiv. Series. "International Relations";
  • Collection of scientific papers "Actual Problems of International Relations" of the Institute of International Relations of Taras Shevchenko National University of Kyiv;
  • Scientific journal "Foreign Trade: Economics, Finance, Law" of the Kyiv National University of Trade and Economics;
  • Scientific journal "Bulletin of the I.I. Mechnikov Odesa National University. Series. "Economics";
  • Scientific journal "Bulletin of V.N. Karazin Kharkiv National University. Series. "International Relations. Economics. Country Studies. Tourism".
  • Scientific journal "Scientific Bulletin of V.O. Sukhomlynskyi Mykolaiv National University. Series. "Economic Sciences".

He has trained 1 doctor and 13 candidates of economic sciences.

Scientific internships:

  1. 2003 - University of Antwerp (Belgium) 
  2. 2004 - Technological Institute of Kozani (Greece) 
  3. 2016 - Academic Society of Michal Baludiansky, Bratislava (Slovakia). Kozani (Greece) 
  4. 2016 - Michal Baludiansky Academic Society, Bratislava (Slovakia)

Author and co-author of more than 250 scientific and methodological works.

Main publications:

  • Genesis of banking systems in transformational economies (structural and functional analysis): monograph. К., 2006;
  • Banking system of Ukraine in the conditions of market relations formation: issues of theory and practice: monograph. К., 1999;
  • International finance: textbook / edited by O.I. Rogach. K., 2003 (in co-authorship);
  • Finance and Entrepreneurship: a textbook. Ternopil, 2009 (in Ukrainian), Theory of Finance: a textbook. K., 2010 (co-authored);
  • International Economics: textbook. Lviv, 2011 (co-authored);
  • Legal Encyclopedia Vol. 2. K., 1999 (co-authored);
  • Ukrainian Diplomatic Encyclopaedia: in 2 vols; 
  • European Union: Economy, Politics, Law: Encyclopaedic Dictionary. K., 2011 (co-authored);
  • Innovative development of the economy: processes and phenomena: monograph / edited by V.Y. Shvets, M.S. Pashkevych. Dnipro, 2013 (in Ukrainian);
  • Global Economy: Issues and Challenges of Post-Crisis Development: the monograph / Ed. by S.Evangelos, O.Rogach. Kastoria (Greece), 2014 (in Ukrainian);
  • Fundamentals of international finance: a textbook / Ed. by O.I.Rogach [2nd ed.] K., 2014 (in co-authorship);
  • Modern Ukraine in the global environment: strategic guidelines for economic development: monograph / edited by N.V. Stukalo, N.P. Meshko. Dnipro, 2015 (in Ukrainian);
  • Modern tendencies of international economic relations and foreign economic relations of Ukraine: monograph / edited by V.M. Fomishina. Kherson: LLC "WKF "STFR" LTD", 2017 (in co-authorship);
  • Globalisation and regionalisation as vectors of development of international economic relations: monograph / edited by O.A. Dovgal, N.A. Kazakova. Kharkiv, 2018 (in Ukrainian);
  • Innovative Trends in World Trade Development: the monograph / Edited by Prof. A.P. Rumyantsev. Kyiv, 2018 (in Ukrainian);
  • Modern trends in international capital flows: a monograph. Kyiv: TSUL, 2019) - (co-authored);
  • Multinational enterprises and the global economy: a monograph.  Kyiv: TsUL, 2020 - (in co-authorship), internationalisation of the World Economy: Current Trends. Kastoria: EVKONOMIA Publisher, 2020 - (in Ukrainian);
  • Tsyganov S. Application of decision tree model for prediction of immigration policy in different countries of the world / Tsyganov S., Tsyganova N., Apalkova V., Meshko N., Apalkov S.. Problems and Perspectives in Management. Volume 19 2021, Issue 3, pp. 513-532. (SCOPUS);
  • Tsyganov S. Evaluating the economic and environmental effects of investment projects: A new model and its application to smartphone manufacturing in Europe. Investment Management and Financial Innovations. Volume 18, 2021. Issue 4. pp. 252-265. (SCOPUS);
  • Tsyganov S. Evaluation models for the impact of pricing factor on environmental performance in different countries / Tsyganov S., Tsyganova N., Apalkova V., Meshko N., Apalkov S.. Problems and Perspectives in Management. Volume 20. 2022, Issue 2, pp. 135-148. (SCOPUS).

ORCID: 0000-0002-9032-7829

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Дзюба Павло Валерійович
Pavlo Dziuba
Doctor of Economics
Professor

Disciplines: "International Investment Management", "International Portfolio Investments", "International Financial Management", "Strategies for Optimizing International Portfolio Investments", "International Financial Markets".

Field of scientific interests: global problems of the movement of international portfolio investments and international investment management, problems of transfer pricing in multinational enterprises, financing of multinational enterprises, problems of development of international financial markets

2002 – graduated with honors from the Institute of International Relations of Taras Shevchenko Kyiv National University – master of international economic relations, English translator. 2002 – assistant professor of international finance at the Institute of International Relations of Taras Shevchenko Kyiv National University. 2006 – defended candidate's thesis on the topic "Transfer pricing in the financial system of TNCs". 2007 - Associate Professor of the Department of International Finance at the Institute of International Relations of Taras Shevchenko Kyiv National University. 2013 - 2016 - Doctoral student at the Department of International Finance at the Institute of International Relations of Taras Shevchenko Kyiv National University .2018 - defended his doctoral dissertation on the topic "Evolution of the Paradigm of International Portfolio Investment". 2020 - Professor of the Department of International Finance at the Institute of International Relations of Taras Shevchenko Kyiv National University.

Guarantor of the Master's level educational program "International Finance and Investments".

The author of more than 180 scientific and educational and methodical publications on the issues of international finance and international investment.

Textbooks and training aids:

  • Dziuba P. V. Internal financing of activities of transnational corporations. Basics of international finance: a textbook / O. I. Rogach and others. ; under the editorship O. I. Rogacha. Kyiv: Kyiv University Publishing and Printing Center, 2008. Chap. 18. P. 349-388. 
  • Dziuba P. V. External financing of activities of transnational corporations. Basics of international finance: a textbook / O. I. Rogach and others. ; under the editorship O. I. Rogacha. Kyiv: Kyiv University Publishing and Printing Center, 2008. Chap. 19. P. 389-403. 
  • Dziuba P. V. Direct foreign investments. Basics of international finance: a textbook / O. I. Rogach and others. ; under the editorship O. I. Rogacha. Kyiv: Kyiv University Publishing and Printing Center, 2008. Chap. 16. P. 322-333. 
  • Dziuba P. V. Financial system of transnational corporations. Basics of international finance: a textbook / O. I. Rogach and others. ; under the editorship O. I. Rogacha. Kyiv: Kyiv University Publishing and Printing Center, 2008. Chap. 17. P. 334-348. 
  • Rogach O. I., Dziuba P. V. International investment management: textbook. Kyiv: Publishing and printing center "Kyiv University", 2011. 495 p. 
  • Dziuba P. V. Theories of international capital movement. International economic relations: workshop / O. I. Shnirkov and others. ; under the editorship O. I. Shnyrkova. Cherkasy: publisher Yu. A. Chabanenko, 2013. Chap. 2.6. P. 54-60. 
  • Dziuba P. V. Internal financing of TNC activities. Basics of international finance: a textbook / O. I. Rogach and others. ; under the editorship O. I. Rogacha. 2nd ed., add. Kyiv: Kyiv University Publishing and Printing Center, 2014. Chap. 18. P. 317-346. 
  • Dziuba P. V. External financing of TNC activities. Basics of international finance: a textbook / O. I. Rogach and others. ; under the editorship O. I. Rogacha. 2nd ed., add. Kyiv: Kyiv University Publishing and Printing Center, 2014. Chap. 19. P. 347-359. 
  • Dziuba P. V. International portfolio investments. Basics of international finance: a textbook / O. I. Rogach and others. ; under the editorship O. I. Rogacha. 2nd ed., add. Kyiv: Kyiv University Publishing and Printing Center, 2014. Chap. 15. P. 269-286. 
  • Dziuba P. V. Financial system of TNK. Basics of international finance: a textbook / O. I. Rogach and others. ; under the editorship O. I. Rogacha. 2nd ed., add. Kyiv: Kyiv University Publishing and Printing Center, 2014. Chap. 17. P. 303-315. Rogach O. I., Dzyuba P. V. International portfolio investments: a textbook. Kyiv: VOC "Kyiv University", 2016. 950 p. 
  • Rogach O. I., Dziuba P. V. Fundamentals of international investment management: textbook. Kyiv: VOC "Kyiv University", 2021. 320 p.

Monographs:

  • Dziuba P. V. Modern theory of international portfolio investment: structure and determinants of development: monograph. Kyiv: Agrar Media Group, 2017. 536 p.
  • Dziuba, P. V. Transformation of the paradigm of movement of international portfolio investments. Modern trends in the international movement of capital: a monograph / Ed. O. I. Rogacha. Kyiv: "Center for Educational Literature", 2019. P. 22-53.
  • Dziuba P. V. Modern trends in international portfolio investment. Modern trends in the international movement of capital: a monograph / Ed. O. I. Rogacha. Kyiv: "Center for Educational Literature", 2019. P. 219-233.
  • Dziuba P. V. Foreign portfolio investments in Ukraine: problems and implications for the formation of an attraction strategy. Competitive security strategies of Ukraine's development in the global environment: monograph / State University "Institute of Regional Studies named after M. I. Dolishnyi National Academy of Sciences of Ukraine"; in general ed. A. I. Mokiya. Lviv, 2019. P. 817-853.
  • Dziuba P.V. Modern trends of FDI flows: regional and industry aspects. Multinational enterprises and the global economy: a monograph / Ed. O. I. Rogacha. Kyiv: "Center for Educational Literature" Publishing House, 2020. P. 83-108.
  • Dziuba P. Current Trends in International Portfolio Investing. Internationalization of the World Economy: Current Trends: monograph / Ed. by Evangelos Siskos and Oleksandr Rogach. Kastoria (Greece), 2020. P. 107-124.

Scientific articles:

  • Dziuba P. Asymmetry in Risk and Return Fluctuations as a Factor Driving International Portfolio Investments in Crisis Periods. European Cooperation: Scientific Approaches and Applied Technologies. 2017. No. 1 (20). P. 23-34.
  • Rogach O. I., Dziuba P. V. Exchange Rate Risks of International Portfolio Investments: Comparative Analysis of Ukrainian and other Frontier Markets. Journal of Transition Studies Review. 2017. Vol. 24, No. 1. P. 31-45.
  • Dziuba P.V. Evolution of the subjective approach to the optimization of international investment portfolios. Bulletin of Taras Shevchenko Kyiv National University. Series: International relations. Kyiv: VOC "Kyiv University", 2017. Issue 1 (46). P. 55-67.
  • Dziuba P. V. Optimization of international investment portfolios by geometric mean return: an evolutionary view of an extra-paradigmatic concept. Scientific Bulletin of Kherson State University: Science. period. kind. Series: Economic sciences: in 2 h. Kherson: Kherson State University; "Helvetica Publishing House", 2017. Vol. 26. Part 2. P. 109-124.
  • Dziuba, P.V. Formation of post-modern portfolio theory as the latest stage of development of the international portfolio investment paradigm. Problems of the systemic approach in economics: coll. of science works Kyiv: National Aviation University; Helvetica Publishing House, 2017. Vol. 4 (60). P. 7-14.
  • Dziuba P. V. Evolution of the diversification concept of the portfolio theory as a prerequisite for the formation of the theory of international portfolio investment. Scientific bulletin of the International University of Humanities: coll. of science works Series: Economics and management: in 2 hours. Odesa: International Humanitarian University; "Helvetica Publishing House", 2017. Vol. 26. Part 1. P. 48-54.
  • Dziuba P.V. Conceptual structure of the portfolio theory as a paradigmatic basis of the modern theory of international portfolio investment. Scientific Bulletin of the Uzhhorod National University: Science. period. kind. Series: International economic relations and world economy: in 2 h. Uzhgorod: Uzhgorod National University; "Helvetica Publishing House", 2017. Vol. 15. Part 2. P. 100-106.
  • Dziuba P. V. Optimization of investment portfolios according to the principle of maximum certainty: an alternative view on the formation of the portfolio paradigm of international investment. Actual problems of international relations: coll. of science works Kyiv: IMV, 2017. Issue 132. P. 109-124.
  • Dziuba P. V. The concept of an effective portfolio: a retrospective analysis of the formation of the foundations of the theory of international portfolio investing. Bulletin of Odessa National University: Science. journal Series: Economy. Odesa: Odesa National University named after I. I. Mechnikov, 2017. Volume 22. Issue. 5 (58). P. 48-67.
  • Rogach O. I., Shnyrkov O. I., Dziuba P. V. Skewness-Based Portfolio Selection: Implications for International Investing in Frontier Markets. Journal of Transition Studies Review. 2019. Vol. 26, No. 2. P. 23-38.
  • Filipenko A. S., Dziuba P. V. Theory of international business: from birth to the present. Scientific discussion within the framework of the national presentation of the textbook, Doctor of Economics, prof. Oleksandr Rogach "Theories of International Business" (Kyiv University: Kyiv University, 2018. - 687 p.). Actual problems of international relations: coll. of science works Kyiv: IMV. 2019. Issue 138. P. 166-179.
  • Dziuba P. V. Behaviorism: evolution and place in the theory of international portfolio investment. Foreign trade: economy, finance, law. Series: Economic Sciences. Kyiv: Kyiv National University of Trade and Economics, 2019. Issue 6 (107). - P. 89-104.
  • Dziuba P. V. The concept of yield estimation: origins and place in the modern theory of international portfolio investment. Bulletin of Taras Shevchenko Kyiv National University. Series: International relations. Kyiv: VOC "Kyiv University", 2019. Issue 2 (50). P. 64-76.
  • Dziuba P. V., Shtogrin K. V. Home Bias as a Key Behavioral Deviation of Portfolio Investors Decisions. Actual problems of international relations: coll. of science works Kyiv: IMV. 2020. Issue 145. P. 72-82.
  • Dziuba P. V., Shtogrin K. V. Implications of postmodern portfolio theory for international investment management [Electronic resource]. International relations. Series: Economic Sciences. Kyiv: IMV. 2020. No. 22. URL: http://journals.iir.kiev.ua/index.php/ec_n/article/view/4083 (access date: 08/02/2021).
  • Dziuba P. V., Shtogrin K. V. Behavioral deviations of investment decisions: on the example of propensity to invest in local markets. Scientific Bulletin of the Uzhhorod National University: Science. journal Series: International economic relations and world economy: Uzhgorod National University; "Helvetica Publishing House", 2021. Issue 37. P. 24-34.
  • Dziuba, P. V. Multifactor models of assessment of investment premiums: discourse analysis and place in the modern theory of international portfolio investing. Scientific bulletin of the International University of Humanities: coll. of science works Series: Economics and management. Odesa: International Humanitarian University.
  • Dziuba P., Pryiatelchuk O., Rusak D. Equity Markets Risks and Returns: Implications for Global Portfolio Capital Flows during Pandemic and Crisis Periods. Baltic Journal of Economic Studies. 2021. Vol. 7, No. 3. P. 97-108. (DOI: https://doi.org/10.30525/2256-0742/2021-7-3-97-108).
  • Dziuba P. V. Value paradigm of international portfolio investment. Scientific bulletin of Kherson State University: coll. of science works Series: Economic Sciences. Kherson: Kherson State University; "Helvetica Publishing House", 2021. Issue 43. P. 5-16.
  • Dziuba P., Glukhova D., Shtogrin K. Risk, Return and International Portfolio Diversification: Evidence from k-means Clustering Data. Baltic Journal of Economic Studies. 2022. Vol. 8, No. 3. P. 53-64.

Abstracts of international conferences:

  1. Dziuba P. V. Risk and Return Structural Asymmetry in International Portfolio Investments. Innovative Economy: Processes, Strategies, Technologies: International Scientific Conference Proceedings (January 27, 2017, Kielce (Poland)). Kielce, Poland: the State University of Jan Kochanowski, Department for Entrepreneurship and Innovation; Baltija Publishing, 2017. Part 1, P. 28-30.
  2. Dziuba P. V. Estimating Relative Exchange Rate Risk of International Portfolio Investments: The Case of Frontier Markets. Integration of Business Structures: Strategies and Technologies: International Scientific-Practical Conference Proceedings (February 24, 2017, Tbilisi (Georgia)). Tbilisi, Georgia: Sulkhan-Saba Orbeliani Teaching University. Baltija Publishing, 2017. Part 1, P. 10-12.
  3. Dziuba P.V. The influence of risk and return asymmetry of stock markets on international portfolio investments. Entrepreneurship and the financial system: national features and world trends: coll. theses of scientific works of the participants of the All-Ukrainian science-practice conf. (March 17-18, 2017, Odesa). Odesa: NGO "Center for Economic Research and Development; CEDAR, 2017. P. 10-14.
  4. Dziuba, P. V. Modern theory of international portfolio investment: biparadigmatic foundations and development prospects. Theoretical and methodological transformations of economic science in the 21st century: perspectives of a new paradigm: materials of the All-Ukrainian. science and practice conf. (May 28-29, 2019, Kyiv). Kyiv: Kyiv National University of Trade and Economics, 2019. P. 34-39.
  5. Rogach O., Pidchosa O., Dziuba P. Geographic Information and Cyber-Physical Systems in Oil and Gas Industry: Benefits, Problems and Integration Prospects. Geoinformatics: Theoretical and Applied Aspects 2020: Conference Proceedings (11-14 May 2020, Kyiv). Kyiv: European Association of Geoscientists and Engineers. 2020. P. 1-5.
  6. Dziuba P. V. International Financial Markets: Dynamics of 2020 and Implications for International Portfolio Investing. Innovative Educational Technologies: European Experience and Its Application in Internship in Economics and Management: Internship Proceedings (20-31 January 2021, Kielce, Poland). Kielce, Poland : Konsorcjum Naukowo-Edukacyjne. 2021. P. 47-50.
  7. Dziuba P. V. Value Investing Paradigm: An Alternative Approach to International Portfolio Investing. The Driving Force of Science and Trends in Its Development: Collection of Scientific Papers "SCIENTIA" with Proceedings of the I International Scientific and Theoretical Conference (20 August 2021, Coventry, United Kingdom): in Two Volumes. Coventry, United Kingdom: European Scientific Platform. 2021. Vol. 1. P. 19-20.
  8. Dziuba P. V. Portfolio Paradigm of International Investing. Scientific Collection "InterConf", (72) : with the Proceedings of the 5th International Scientific and Practical Conference "Scientific Community: Interdisciplinary Research" (26-28 August 2021, Hamburg, Germany). Hamburg, Germany : Busse Verlag GmbH. 2021. P. 53-56.

Teaching at foreign universities and internships abroad:

  • 2022 – Teaching at Chu Hai College of Higher Education, Hong Kong, China ("Visiting Professor" status). Educational discipline "Risk management in international business transactions".
  • 2021 – Teaching at Chu Hai College of Higher Education, Hong Kong, China ("Visiting Professor" status). Educational discipline "Risk management in international business transactions".
  • 2021 – University of Finance, Insurance, Business, Entrepreneurship and Innovation (Sofia, Bulgaria.
  • 2021 – Scientific and educational consortium (Kielce, Poland).
  • 2020 - Teaching at the Chu Hai College of Higher Education, Hong Kong, China ("Visiting Associate Professor" status). Educational discipline "Risk management in international business transactions".
  • 2011 – Institute of World Economy and International Relations of the National Academy of Sciences of Ukraine.
  • 2005 - Lessius Higher School, Antwerp, Belgium (TEMPUS international project "Study of international finance in Ukrainian universities No. CD_JEP-22039-2001").
  • 2004 - John Moores University, Liverpool, Great Britain (TEMPUS international project "Study of International Finance in Ukrainian Universities No. CD_JEP-22039-2001").
  • 2003 – University of Iowa, USA ("Visiting Scholar" status).

Scopus ID: 57200629207

Web of Science ResearcherID: ABE-3572-2021

ORCID: 0000-0003-2932-0908

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Кузнєцова Наталія Володимирівна
Natalia Kuznetsova
PhD in Economics
Associate Professor

Disciplines: "International enterprise and direct investment", "Regulation of international investment", "Foreign direct investment in the world economy", "International lending", "Business plan of an international enterprise", "Fundamentals of international macroeconomics", "Operations on global derivatives markets".

Field of scientific interests:

issues of economic policy in the world capital markets and for certain groups of countries; the issue of economic consequences of foreign investments for the countries receiving capital; regulation of international movement of capital, including foreign investments; processes of development of international credit markets; mechanisms of operation of special economic zones; markets of derivative financial instruments (derivatives).

Education: Kyiv National University named after Taras Shevchenko.

Specialist in the field of international financial relations.

Internship:

  • Institute of World Economy and International Relations of the National Academy of Sciences of Ukraine, from 02.01.2013 to 06.30.2013; 
  • Kyiv National Economic University named after Vadym Hetman, from 09.01.2019 to 12.31. 2019.

Author of more than 50 scientific works and 20 educational and methodical works.

Main works:

  • Kuznetsova N.V. International monetary and credit and financial relations: control over the movement of capital in the modern world. K: "Kyiv University", 2008. - 450s.
  • Kuznetsova N.V. Control, liberalization and regulation of capital movements in the modern world. K: "Kyiv University", 2011. - 396p.
  • Kuznetsova N.V. OECD policy on solving the problem of liberalization and control over the movement of capital in the conditions of the modern world. Innovative economy: macro-, meso- and macro levels. Kherson State University. – Kherson, 2015. – P. 11-21.
  • Kuznetsova N. International market of syndicated lending: world trends and the state of its development in Ukraine. Journal of Global Economy Review. Department of Business Administration. – Kozani, Greece, 2017. – No. 7. – P.11-21.
  • Kuznetsova N.V. The world derivatives market. Course of lectures. K.: "INK", 2018. - 180 p.
  • Kuznetsova N.V. The influence of direct foreign investment on the economic development of developing countries. – Modern trends in international capital movement. Under the editorship Rohacha O.I. K.: VOC "Center for Educational Literature", 2019. - P. 145-179.
  • Kuznetsova N.V. The influence of direct foreign investment on the economic development of developing countries (on the example of Mexico). Scientific magazine "Intellect 21". - K., 2019. - Issue 5., - p. 122-130. 
  • Kuznetsova N.V. The influence of direct foreign investment on the economic development of developing countries (on the example of Brazil). Scientific Bulletin of Kherson State University. Series "Economic Sciences". – Kherson, 2019. – Issue 36, pp. 13-20. Volume: 0.7 d.a.
  • Kuznetsova N.V. Special economic zones as a mechanism for attracting FDI to China. // Kuznetsova N.V., Babich O.A. // Scientific Bulletin of the Uzhhorod National University. Series "International Economic Relations and World Economy". – Uzhhorod, 2020. – Issue 33, p. 82-88.
  • Kuznietsova N. Special Economic Zones (China) // Kuznietsova N., Babitch O. // Journal of Global Economy Review. Department of Business Administration. – Kozani, Greece, 2020. – No. 10. - P. 32-39.
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Фаренюк Наталія Вікторівна
Natalia Fareniuk
PhD in Economics
Associate Professor
issues of international finance markets, international monetary and credit relations

Education: Taras Shevchenko Kyiv National University, Institute of International Relations, Department of International Economic Relations.

Author of more than 40 scientific works.

Author of more than 50 scientific publications (full list of publications upon request).

Fareniuk N.V. has scientific publications on the subject of international finance, in particular:

  • Fareniuk N.V. The tax dimension of the rapprochement of the EU and Ukraine: modern trends and challenges // Processes of convergence of Eastern European countries with the EU within the framework of the Eastern Partnership (Processes of integration of Ukraine and the EU): collection of abstracts of reports of the international scientific and practical conference / NAS of Ukraine, State University of Int. Econ. and predicted National Academy of Sciences of Ukraine". - Electron. data. - K., 2021. - 183 p. - Access mode: http://ief.org.ua/docs/scc/17.pdf p. 104-110. 
  • Farenyuk N.V. Equity capital in the structure of collateral assets of international institutional investors// Modern trends in international capital movement. Monograph./Ed. O.I. Rogacha.-K.: "Center for educational literature", 2019. - 269 p. -with. 234-253. 
  • Farenyuk N.V. Farenjuk N. The Specifics of Yuan’s Internationalization In The Debt Financial Instruments Markets./Actual Problems of International Relations:/ Actual problems of international relations: Collection. of science Ave. Issue 139 (2019). K.: Kyiv. National University named after T. Shevchenko. IMV, 2019. – P. –107–114. 
  • Free trade, protectionism, fair trade: pros and cons. International Scientific Conference, K.: Kyiv. National University named after T. Shevchenko. IMV, 2018 Report: The current state of the US-EU trade conflict. pp. 89-93. 
  • Fundamentals of international finance: a textbook/ edited by O.I. Rogacha.-2nd ed., add.-K.: Publishing and Printing Center "Kyiv University". – 2014.– 447 pp. (Chapter 10, 22).
  • Fareniuk N.V. Peculiarities of the current state of regulation of banking activity on world financial markets / Current problems of international relations: Collection. of science Ave. Issue 124. Ch.I – K.: Kyiv. National University named after T. Shevchenko. IMV, 2015. – pp. –121–131. 
  • Farenyuk N.V. "The EU stock market: teaching methodology"// Materials of the scientific and methodological conference "European studies in universities of Ukraine". K.: Taras Shevchenko National University of Ukraine, IIR - 2016- P.58-61VWorld finance: modern trends and development prospects. – 2013. – 342 p. 
  • Fundamentals of International Finance: Textbook. 2nd Edition / O. Rogach, O. Pidchosa, I. Pouzanov, S. Tsyganov and others. / Edited by O. Rogach – Kyiv: Publishing center "Kyiv University", 2014. – 442 p. (Chapter 10, 22).
  • (Ukrainian language) Fundamentals of International Finance: Textbook. 2nd Edition // Edited by O. Rogach – Kyiv: Publishing center "Kyiv University", 2014. – 442 p. 
  • (Ukrainian language) Global Finance: Current Trends and Prospects: Monograph / O. Rogach, I. Pouzanov, Nataliia Farenjuk and others.; Edited by O. Rogach. - K.: Publishing center "Kyiv University", 2013. - 342 p. 
  • (Ukrainian language) Participant of more than 10 national and international scientific conferences, round tables, seminars, etc. (a full list of scientific activities is available upon request).

Fareniuk N.V. participated in international scientific and practical conferences devoted to the topic of international finance, in particular:

  • International science and practice conf. Free trade, protectionism, fair trade: pros and cons. International Scientific Conference, K.: Kyiv. National University named after T. Shevchenko. IMV, 2018 Report: The current state of the US-EU trade conflict. with. 89-93. Theses have been published.
    International scientific and methodical conference. Farenyuk N.V. "The EU stock market: teaching methodology"// Materials of the scientific and methodological conference "European studios in universities of Ukraine". K.: KNU named after Taras Shevchenko, IMV- 2016- P.5 8-61. Theses have been published.
  • 4th International Scientific and Practical Conference "Welfare of Nations in Conditions of Global Instability" (April 25-26, 2014, Odesa, Ministry of Education and Culture of Ukraine, I.I. Mechnikov National University, Higher Education Support Program, Ukrainian Association of International Economists ). Report: Implementation of Basel III principles at the current stage of development of the global financial system.
  • Fareniuk N.V. Saudi Arabia as a participant in the international capital market.// Round table "The Arab world in the modern system of geopolitical, geoeconomic and legal coordinates" (01.11.2018, Kyiv, Taras Shevchenko KNU, IIR).
  • Scientific and practical conference dedicated to Prof. V.V. Budkin "Labor Market" (13.12.12, Kyiv, KNU named after Taras Shevchenko, IMV department of SG and ME, department of MF, VGO "Ukrainian Association of International Economists"). Report: Trends in the development of the labor market in Great Britain during the crisis period. International Judicial Forum "Judicial Protection of the Natural Environment and Environmental Rights" (Kyiv, November 7, 2019). Report on the topic: "Inter-American system of protection of the right to a safe environment." Theses have been published.

 

  • (status – Visiting Professor)
    Master's program "Public Administration"

Faculty of Management, Harbin Polytechnic University, Harbin, China (PRC) and participation in the government program of the Belt and Road think tank

since April 2019

 

  • (status – Visiting Professor)
    Master's program in Management in Education

Faculty of Management and Economics, Technological Educational Institute of Western Macedonia in Kozan; Kastoria, Greece in November 2017

 

  • (status – Participant)
    Intensive course "Practical Aspects of Formulation and Implementation of Monetary Policy", National Bank of Ukraine, Kyiv

2017-05/18/2017

 

  • (status - Visiting Professor (internship)
    Ministry of Foreign Affairs of Ukraine, Department of International Economy and Economic Diplomacy

10.02-30.06.2014

 

  • (status – Visiting Professor)
    Lessius Higher School, Antwerp, Belgium (TEMPUS international project "Study of international finance in Ukrainian universities")

November-December 2004

 

Expert of the National Agency for Quality Assurance of Higher Education (Ukraine)

Participant (as an expert) of a documentary film about the World Financial Crisis

YouTube

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Матей Василь Васильович
Vasyl Matei
PhD in Economics
Associate Professor
modern financial technologies, digitization of international finances, sources of financing innovations, the impact of innovations and technologies on economic development, international financial centers

Education: Uzhgorod National University, Faculty of International Relations

In the research work of V.V. Matei has more than 50 scientific and pedagogical publications, in particular: "International movement of financial capital in the conditions of the digital economy" (2019); "Venture investment in the USA: formation, development, current trends" (2009); "Characteristic features and modern trends of the informal venture capital market" (2008).

Executive Secretary of the Ukrainian Association of International Economists, expert of the Enterprise Europe Network (EU COSME Program).

ORCID: 0000-0002-4836-2604

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Литвин О.Є.
Литвин Олена Євгенівна
кандидат економічних наук
доцент
Міжнародна економічна інтеграція та глобалізація, міжнародна інвестиційна та банківська діяльність, міжнародна конкурентоспроможність та світові товарні ринки

Дисципліни: «Міжнародні фінансові центри», «Міжнародні фінансові ринки», «Інформаційні технології у дослідженні кон’юнктури світових ринків», «Ризик-менеджмент у міжнародному бізнесі», «Кредитування міжнародної торгівлі», «Стратегічний менеджмент міжнародного підприємства», «Транскордонні операції злиття і поглинання».

Освіта: Національний авіаційний університет, економічний факультет; Київський національний лінгвістичний університет, англійський факультет.  

Стажування:

  • SET університет та Фішер центр бізнес аналітики (м. Берклі), з курсу: «Прикладна бізнес аналітика та штучний інтелект», 2023 р. 
  • Університет прикладних наук Анхальт (Hochshule Anhalt, HAS), з курсу: «Цифрове майбутнє: Змішане навчання», 2023 р.
  • Європейський коледж (м. Варшава) та “Axel Springer” (м. Берлін), з курсу: «Журналістське ремесло для добросусідства», 2019 р. 
  • ICHEC школа менеджменту (м. Брюссель), літня школа з курсу: «Регенеративні інновації», 2019 р. 
  • Інститут європейських студій Амстердамського вільного університету та Віденська дипломатична академія, літня школа з курсу: «Європейська політика», 2016 р. 
  • BOKU університет (м. Відень), «Альтернативна економіка і монетарні системи», 2014 р. 
    Об’єднаний Віденський Інститут (JVI) МВФ, з курсів: «Прикладна економічна політика», 2011 р.; «Економічна та монетарна інтеграція в Європі: аспекти країн СНД», 2011 р.: «Політика прямого іноземного інвестування», 2011 р.; «Суспільне керівництво та структурні реформи», 2012 р.

Автор понад 60 наукових публікацій та 20 учбово-методичних праць.

Основні праці: 

  1. Lytvyn, O., Onyshchenko, A., & Ostapenko, O. (2023). Economic challenges of sustainable development goals in Ukraine. Baltic Journal of Economic Studies, 9(1), 100-112. URL: https://doi.org/10.30525/2256-0742/2023-9-1-100-112 
  2. Lytvyn, O., Kuryliuk, Y., Onyshchenko, A., Kudin, V., Parkhomenko, V. and Filiuk, S. (2023). Toolkit for Ensuring Management of Socially Responsible Business Activities. Econ. Aff., 68(01s): 83-89. URL: https://economicaffairs.co.in/Journal/abstract/id/NTcwNw==  
  3. Olena Lytvyn Digital tools for creating educational content / The scientific paradigm in the context of technological development and social change: Scientific monograph. Part 2. Riga, Latvia: “Baltija Publishing”, 2023. pp. 329-366. URL: https://doi.org/10.30525/978-9934-26-297-5-33 
  4. Köck, Robert; Lytvyn, Olena “Stärkung der finanziellen Souveränität Europas mit Hilfe der Kapitalmarktunion”. Sichtweise der Zentralbanken der Europäischen Union / ÖBA BankArchiv. Volume 70, January 2022, Issue 1, pp. 33-42. URL: https://elibrary.verlagoesterreich.at/article/10.47782/oeba202201003301 
  5. Lytvyn O. Development of Ukraine’s economy through the prism of investment stimulating process // Current issues of security management during martial law: scientific monograph. – Košice: Vysoká škola bezpečnostného manažérstva v Košiciach, 2022. pp. 130-149.
  6. Литвин О.Є., Романенко В.С. Перспективні напрями інтеграції економіки України в глобальне господарство. Фінансовий простір. 2022. № 1 (45). С. 62-74.  
  7. Литвин О.Є., Хмелевська В.В. Конкурентні позиції України на світовому ринку фінансових послуг. Фінансовий простір. 2021. № 1 (41). С. 66-78.  
  8. Литвин О.Є. Міжнародний досвід розвитку фінансової інклюзії та її інституційне забезпечення в умовах становлення економіки сталого розвитку / Трансформація забезпечення фінансової стабільності фінансового сектору національної економіки для сприяння сталому розвитку: методологічний аспект : монографія / авт. кол. ; за заг. ред. д-ра екон. наук, проф. А. Я. Кузнєцової, д-ра екон. наук, доц. М. Е. Хуторної. Львів :Університет банківської справи, 2021. С. 439-466. 
  9. Литвин О., Романенко В. Особливості інфраструктурного середовища МЕД в умовах глобалізації // Вісник Київського національного університету імені Тараса Шевченка. Міжнародні відносини / Київський національний університет імені Тараса Шевченка. – Київ: Київський університет. – Вип. 2(54). – 2021. – С. 47-54.  URL: http://journals.iir.kiev.ua/index.php/knu/article/view/4250 
  10. Литвин О.Є., Семенець І.В. Особливості міжнародної спеціалізації та виробничого кооперування в умовах глобалізації // Міжнародні економічні відносини та національна економічна діяльність: сучасний стан, проблеми та тенденції розвитку: колективна монографія. Полтава: ПП «Астрая», 2021. С. 18-32. URL: http://www.economics.in.ua/2021/07/blog-post_78.html   
  11. Литвин О.Є., Білошапка В.В. Особливості цифрового маркетингу в банківській діяльності. Фінансовий простір. 2020. № 4 (40). C. 117-126. 
  12. Modelling of the functional dependence of VAT tax liabilities on input VAT for the enterprises / Тetiana Bulakh, Yuliia Rusina, Alla Koval, Olena Lytvyn, Olena Budіakova // International Journal of Scientific & Technology Research. – Vol. 9 – Issue 3, March 2020. Edition – ISSN 2277-8616.  – Р. 5881-5886. 
  13. Lytvyn, O., Bulakh, T., Ivashchenko, O., & Grynchak, N. (2020). Formation of Innovative Economy of Ukraine in the Context of European Union Association Agreement. Management Theory and Studies for Rural Business and Infrastructure Development, 42 (1), 5-16. URL: https://ejournals.vdu.lt/index.php/mtsrbid/article/view/336  
  14. Литвин О.Є. Глобалізаційні виклики та їхній вплив на сталий розвиток економіки // Механізми забезпечення ефективності та конкурентоспроможності банківської системи та економіки України: монографія / [Г.Т. Карчева, А.Я. Кузнєцова, Н.Р. Швець та ін.]; за заг. ред. д-ра екон. наук Г.Т. Карчевої. – Київ: ДВНЗ «Університет банківської справи», 2019. – С. 36-45.

ORCID: 0000-0003-3437-2067 

e-mail: kafedra_mm@ukr.net 

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Білоус
Білоус Артем Олексійович
кандидат економічних наук
асистент
Трансформація міжнародних ланцюгів постачань, методи контролю фінансового стану підприємств, розвиток міжнародної банківської системи, менеджмент міжнародних та транснаціональних компаній

Дисципліни: «Фінансові технології міжнародних банків», «Світова економіка», «Міжнародний фінансовий та інвестиційний консалтинг», «Міжнародний аудит і фінансовий аналіз», «Міжнародні інституційні інвестори», «Міжнародний фінансовий та управлінський облік».

Освіта:

  • 2011 р. – закінчив із відзнакою Інститут міжнародних відносин Київського національного університету імені Тараса Шевченка – магістр міжнародного бізнесу, перекладач з англійської мови.
  • 2016 р. – захистив кандидатську дисертацію на тему «Трансформація міжнародної управлінської діяльності компаній залізничного машинобудування».
  • 2010-2012 рр. – працював зовнішнім аудитором у компанії “Ernst & Young”.
  • 2013-2023 рр. – працював у будівельній галузі, брав активну участь у співпраці з ЄБРР та ЄІБ.
  • 2023 р. – асистент кафедри міжнародних фінансів Інституту міжнародних відносин Київського національного університету імені Тараса Шевченка.

Наукові статті:

  1. Білоус А. О. Управління конкурентоспроможністю підприємств в умовах інтеграції світогосподарських зв’язків / А. О. Білоус // Україна: проблеми сучасних інтеграційних процесів: Зб. наук. пр. за рез. наук.-практ. конф. асп. і студ. – К., 2008. – С. 403-408 (0,48 д. а.).
  2. Білоус А. О. Світовий досвід впровадження системи державно-приватного партнерства в Україні / А. О. Білоус // Актуальні проблеми міжнародних відносин: Збірник наукових праць. Випуск 112. Частина ІІ (у двох частинах). К.: Київський національний університет імені Тараса Шевченка, Інститут міжнародних відносин, 2013. – С. 299-306 (0,55 д. а.).
  3. Білоус А. О. Стан та перспективи галузі залізничного машинобудування України в контексті сучасного світового розвитку / А. О. Білоус // Вісник Хмельницького національного університету №3, Т. 2 (212). Хмельницький: Хмельницький національний університет, 2014. – С. 234-239 (0,71 д. а.).
  4. Білоус А. О. Інтеграційні перспективи України в сучасних економічних умовах / А. О. Білоус // Актуальні проблеми міжнародних відносин: Збірник наукових праць. Випуск 122 (частина ІІ). К.: Київський національний університет імені Тараса Шевченка, Інститут міжнародних відносин, 2014. – С. 228-236 (0,78 д. а.).
  5. Білоус А. О. Залучення світового досвіду до розвитку підприємств галузі транспортного машинобудування в Україні / А. О. Білоус // Науковий журнал «Молодий вчений». – Миколаїв, 2015. - №6 (21) червень 2015 р. Частина 1. – С. 68-73 (0,78 д. а.). 
  6. Білоус А. О. Теоретичні аспекти виходу компаній-виробників товарів залізничного машинобудування на зовнішні ринки / А. О. Білоус // Актуальні проблеми міжнародних відносин: Збірник наукових праць. Випуск 125 (частина І). К.: Київський національний університет імені Тараса Шевченка, Інститут міжнародних відносин, 2015. – С. 161-170 (0,78 д. а.).
  7. Bilous, A. Contemporary prospects for the railway engineering industry in Ukraine in the view of economic crisis / Artem Bilous // Baltic Journal of Economic Studies. – 2015, Volume 1, Number 1. Riga: “Baltija Publishing”, 2015. – PP. 30-34 (0,7 д. а.).
  8. Bilous, A. Economic effect of introduction of modular technology in railway industry / Artem Bilous // Baltic Journal of Economic Studies. – 2015, Volume 1, Number 2. Riga: “Baltija Publishing”, 2015. – PP. 4-8 (0,63 д. а.).
Kyryl Shtorhin
Assistant
behavioral finance, international portfolio investments, international investment management

Education: Taras Shevchenko Kyiv National University, Institute of International Relations, Master of International Economic Relations.

Author of about 20 scientific and educational and methodological works.

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ORCID: 0000-0002-7431-9810

ResearcherID: ABC-5852-202

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Гейко Олександр Леонідович
Oleksandr Heiko
Assistant

Education:

  • Since 2018 - graduate student of the Department of International Finance2016-2018 - Institute of International Relations of Kyiv National University named after Taras Shevchenko, International Entrepreneurship (Master's program in English) 
  • 2015-2016 - Military Institute of Kyiv National University named after Taras Shevchenko, Faculty of Military Training, Department of Economics and Financial Support 
  • 2013-2015 - Foreign Languages Center at the Institute of International Relations. (English) 
  • 2012-2016 – Institute of International Relations of Kyiv National University named after Taras Shevchenko, international economic relations. Degree of higher education: bachelor (specialization: International Finance)

Scientific interest: global chains of value creation in agribusiness, innovative processes in the development of the fishing industry in Ukraine and on international markets, externalization of international production in the agri-food industry.

Author of 14 scientific and methodological works.

e-mail: alex.g.e200@gmail.com

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Хомутова Анастасія Юріївна
Anastasia Homutova
senior laboratory assistant of the department

Address for correspondence: Department of International Finance,

36/1, Yuriy Illenka Street (Melnikova 36/1),

Kyiv, 04119.