首页> 外文期刊>Universitatea "Constantin Brancusi" din Targu Jiu. Analele. Seria Economie >THE IMPACT OF THE FINANCIAL CRISIS ON THE THEORY AND PRACTICE OF FINANCIAL SYSTEM SUPERVISION
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THE IMPACT OF THE FINANCIAL CRISIS ON THE THEORY AND PRACTICE OF FINANCIAL SYSTEM SUPERVISION

机译:金融危机对金融制度监管理论与实践的影响

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The recent global financial crisis has reopened the debate about macroeconomic policies' objectives, but also the need and extent of state involvement in the functioning of the economy, either directly or indirectly. This has exposed some weaknesses in the system of regulation and supervision of the financial system and the its architecture, especially in the treatment of systemic risks and vulnerabilities, but also the financial implications of the globalization process. The global nature of financial crisis highlighted the fact that, although integrated financial markets offer a number of significant benefits, risks involved are not negligible. Therefore, to ensure the financial stability of an increasingly integrated landscape there was felt the need for reform of the financial system architecture, both nationally and internationally.
机译:最近的全球金融危机重新开放了关于宏观经济政策的辩论的辩论,也重新开放了宏观经济政策的目标,也是直接或间接地参与经济运作的需求和程度。 这在金融系统的监管和监督制度和其建筑中暴露了一些弱点,特别是在治疗系统性风险和漏洞方面,也是全球化进程的财务影响。 金融危机的全球性质强调了这一事实,尽管综合金融市场提供了许多明显的福利,所涉及的风险并不可忽略不计。 因此,为了确保越来越综合景观的金融稳定,觉得有必要对国家和国际金融体系建筑改革的必要性。

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