Innovative approaches to forecasting and evaluating financial decisions in the context of capital market digitalization [Текст] : monograph / Yaroslava Moskvyak ; Ministry of Education and Science of Ukraine, Lviv Polytechnic National University
Вихідні дані: Львів : ГАЛИЧ-ПРЕС, 2026Опис: 222 сторінки : таблиці ; 21 смМова: англійська; супровідний матеріал: українська, англійська.Країна: Україна.Форматний номер: 2 формат (висота > 17-23 см)ISBN: 978-617-8841-01-0.Вид літератури за цільовим призначенням: НауковіВид/характер текстових документів: наукові виданняУДК: 336:330.322:004.738.5The monograph is addressed to scientists, teachers, graduate students and doctoral candidates.
Книга
| Тип одиниці зберігання | Поточна бібліотека | Шифр зберігання | Стан | Очікується на дату | Штрих-код | |
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Книга
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Відділ наукового опрацювання (VNO) Фонд відділу книгозберігання | 336:330.322:004.738.5/M88 (Огляд полиці(Відкривається нижче)) | Доступно (доступ заборонено) | IST16802 |
Анотація українською, англійською мовами
IST16802 Дар Москвяк Я. Є.
Бібліографія: сторінки 206-222 (108 назв)
INTRODUCTION.....11
Chapter 1. Theoretical and Methodological Foundations for Forecasting and Evaluating the Rationality of Financial Decisions.....14
1.1. The Conceptual Framework of Forecasting and Evaluating Financial Decisions and the Analysis of Their Interrelation.....14
1.2. Systematisation of Financial Decisions According to Decision-Making Criteria and Impact on Market Participants.....24
1.3. Financial Markets as the Institutional Environment for the Formation and Implementation of Financial Decisions.....40
Conclusions to Chapter 1.....50
Chapter 2. Current State and Trends in the Digital Transformation of Financial Markets.....52
2.1. Structural Characteristics of Financial Market Digitalisation.....52
2.2. Global Trends in the Digital Transformation of Financial Markets in the Context of Economic Integration.....81
2.3. Key Challenges for Rational Financial Decision-Making in the Digital Financial Environment.....90
Conclusions to Chapter 2.....105
Chapter 3. Methodological Framework for Forecasting the Rationality of Financial Decisions in a Digital Financial Environment.....108
3.1. Methodology for Identifying and Classifying Dynamic Indicators of Financial Decision Rationality in the Context of Digitalisation.....108
3.2. Analytical Tools for Forecasting the Rationality of Financial Decisions in a Digital Context.....117
3.3. Construction of Systemic Forecasting Models for Financial Decision Rationality Based on Digital Data.....133
Conclusions to Chapter 3.....143
Chapter 4. Evaluation and Regulation of the Rationality of Financial Decisions Considering the Digital Transformation of Financial Markets.....147
4.1. Quantitative Assessment of the Impact of Financial Market Digitalisation on Financial Decision-Making.....147
4.2. Methodology for Assessing the Level of Rationality in Financial Decisions and Interpretation of Results.....169
4.3. Development of Regulatory Mechanisms for Influencing Financial Decision-Making Processes under Digital Transformation.....193
Conclusions to Chapter 4.....198
CONCLUSIONS.....201
REFERENCES.....206
The monograph explores innovative methodologies for forecasting and evaluating financial decisions in the context of digital transformation of capital markets. New mechanisms of financial interaction (crowdfunding, asset tokenization, smart contracts, algorithmic trading) are analyzed and modem approaches to forecasting based on machine learning and economic and mathematical models are developed. Tools for optimizing investment portfolios and managing financial flows are proposed.
The monograph is addressed to scientists, teachers, graduate students and doctoral candidates.