Ганна Ліхоносова
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摘要

最近几十年的特点是发展、自由民主、市场经济和复杂竞争的原则。新一代的人是在这些信条的指引下成长起来的,他们相信经济增长、相互依存、思想和言论自由以及人类进步既是可以预测的,也是不可避免的。然而,在2022年,情况发生了根本性的变化,其后果是粮食危机在乌克兰和整个世界蔓延的基础。本文的目的是确定乌克兰和世界粮食危机的明显和不明显因素,表征金融紧张新部分的风险,确定细分市场和生产的问题,形成相关的贸易集团。研究主题-金融紧张局势的当前趋势,金融,经济和粮食供应链的变化,粮食危机的新威胁。研究假设是金融和经济变形对食物链修改趋势的后果的无条件影响,粮食安全的区域中心,粮食危机在各大洲的出现和蔓延以及预防它的机会。研究方法:比较法、比较法、系统法和分析法、概括法和分类法、辩证逻辑和形式逻辑。呈现主要材料。可以确定的是,目前乌克兰社会正处于历史发展的关键阶段,现有的经济格局正在发生变化。全球大流行病、新的外部头寸和气候变化指标已经对经济和金融市场的未来产生了负面影响:目前正在注意到外债过多、预计增长过低和通货膨胀过快。政府和公民社会都无法单独应对这些挑战,因此国内和全球合作对我们来说变得至关重要。今天,一些国家采取单边贸易措施,加剧了危机。它强调,缺乏粮食安全是所有危机的催化剂,直接导致武装冲突。结果的原创性和实际意义在于,有可能应用这些建议来改进会计、分析和财务控制程序,提高现代条件下经济实体业务流程的效率。研究结论。因此,今年成为经济衰退的起点,导致紧缩措施的实施,这反过来又会导致民粹主义的新表现和新的不妥协立场。无论贴现率是上升还是油价下跌,有影响力的投资者都将继续增长,并决定全球金融资本市场的走向。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
ОСУЧАСНЕННЯ НАПРЯМІВ НІВЕЛЮВАННЯ ФІНАНСОВОЇ НАПРУЖЕНОСТІ : ЗАГРОЗИ ВИНИКНЕННЯ ПРОДОВОЛЬЧОЇ КРИЗИ
Recent decades have been defined by the principles of development, liberal democracy, market economy and sophisticated competition. A new generation grew up on these claims, believing that economic growth, interdependence, freedom of thought and speech, and human progress were as predictable as they were inevitable. However, in 2022 the situation has changed radically, the consequences of which are the basis for the spread of the food crisis, both in Ukraine and in the world as a whole. The aim of the article is to identify obvious and inconspicuous factors of the food crisis in Ukraine and the world, characterize the risks of new segments of financial tensions, identify issues of segmentation of markets and production, the formation of relevant trade blocs. The subject of research - current trends of financial tensions, changes in financial, economic and food supply chains, new threats of food crises. The research hypothesis is the unconditional influence of the consequences of financial and economic deformations on the tendencies of modification of food chains, regional centers of food security, the emergence and spread of the food crisis on all continents and opportunities to prevent it. Methods used in the study: comparison, comparison, systematic and analytical approaches, generalization and classification, dialectical and formal logic. Presenting main material. It is established that currently Ukrainian society is at a critical stage of historical development, the existing economic landscapes are changing instantly. The global pandemic, new external positions, and climate change indicators have already made a negative contribution to the future of the economy and financial markets: too much external debt, too low projected growth and too fast-growing inflation are currently being noted. Neither the government nor civil society is able to meet these challenges alone, so domestic and global cooperation is becoming vital to us. Some countries are taking unilateral trade measures today, which is exacerbating the crisis. It is emphasized that the lack of food security is a catalyst for all crises, which directly leads to armed conflict. The originality and practical significance of the results is the possibility of applying the recommendations to improve accounting and analytical and financial control procedures, improving the efficiency of business processes of economic entities in modern conditions. Conclusions of the study. Thus, the current year becomes the starting point of the economic downturn, which causes the application of austerity measures, which in turn will lead to new manifestations of populism and new uncompromising positions. Regardless of whether discount rates will rise or oil prices fall, influential investors will continue to grow and determine the direction of the global financial capital market.
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