| Language: | Slovenian |
|---|---|
| Year of publishing: | 2022 |
| Typology: | 2.11 - Undergraduate Thesis |
| Organization: | UM EPF - Faculty of Economics and Business |
| Publisher: | J. Čonč |
| UDC: | 338.124.4:336.71 |
| COBISS: |
126508803
|
| Views: | 16 |
| Downloads: | 0 |
| Average score: | 0 (0 votes) |
| Metadata: |
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| Secondary language: | English |
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| Secondary title: | Macroprudential policy of central banks to prevent the financial instability of the economy |
| Secondary abstract: | Financial crises have a major impact on the stability of the financial system. Financial stability is a state in which the financial system is able to withstand systemic shocks and sudden corrections of financial imbalances. Financial stability is the key in reducing the possibility of disruptions in the intervention process that would have a negative impact on the economy. Such situations are prevented with macroprudential policy measures which seek to make the financial sector more resilient to disruption and try to prevent the accumulation of risks. |
| Secondary keywords: | financial instability;macroprudential policy;financial crisis;corona crisis;economic stability; |
| Type (COBISS): | Diploma project paper |
| Thesis comment: | Univ. v Mariboru, Ekonomsko-poslovna fak. |
| Pages: | II, 35 str. |
| ID: | 13519084 |