Анализ моделей надзора за финансовыми рынками в странах Евросоюза и в Украине

T. B. Мазыло, Jusif Seiranov

Research output: Contribution to journalArticle


Th e objective of the article is to analyse the consolidation process in fi nancial markets regulation in the European Union. Th e regulation system is viewed as an adjusted balance of preventive and protective framework. Th e consolidation of regulation is analysed at national level. Th e general trend of shift ing to more consolidated national regulation models is confi rmed. Conclusion is made that creation of Banking Union in Euro Area may lead to two speed consolidation process.


  • Regulation of financial markets
  • Models of financial markets supervision
  • Financial markets supervision in Ukraine

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