diplomsko delo
Miona Simić (Author), Dejan Romih (Mentor), Sabina Taškar Beloglavec (Co-mentor)

Abstract

V diplomskem delu je obravnavana bančna kriza v Združenih državah Amerike, ki se je zgodila po pandemiji covida-19. Raziskava se osredotoča na definiranje in analiziranje vzrokov ter posledic krize na ameriško gospodarstvo in finančni trg. Raziskovali smo, kako so makroekonomski dejavniki, kot so zvišanje obrestnih mer, motnje v dobavnih verigah in inflacija, prispevali k izbruhu krize. V empiričnem delu so analizirani vplivi na ključne gospodarske kazalnike, kot so bruto domači proizvod (BDP), inflacija ter indeks zaupanja potrošnikov. Poleg tega so preučeni odzivi regulatorjev in centralnih bank, zlasti ukrepi Federal Reserve za stabilizacijo finančnega sistema. Rezultati diplomskega dela poudarjajo pomembnost ustrezne regulacije in preventivnih ukrepov za zmanjšanje tveganja za podobne krize v prihodnosti.

Keywords

finančni trg;bančna kriza;gospodarska rast;inflacija;bruto domači proizvod;ZDA;

Data

Language: Slovenian
Year of publishing:
Typology: 2.11 - Undergraduate Thesis
Organization: UM EPF - Faculty of Economics and Business
Publisher: M. Simić
UDC: 336.71
COBISS: 229981187 Link will open in a new window
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Other data

Secondary language: English
Secondary title: ǂThe ǂbanking crisis in the United States
Secondary abstract: This thesis examines the banking crisis in the United States that occurred following the COVID-19 pandemic. The research focuses on defining the crisis, analyzing its causes, and assessing its impact on the U.S. economy and financial market. The study explores how macroeconomic factors such as rising interest rates, supply chain disruptions, and inflation contributed to the onset of the crisis. The empirical analysis covers the effects on key economic indicators, including Gross Domestic Product (GDP), inflation and the consumer confidence index. Additionally, the thesis investigates the responses of regulators and central banks, particularly the Federal Reserve's measures to stabilize the financial system. The findings highlight the importance of proper regulation and preventive measures to mitigate the risk of similar crises in the future.
Secondary keywords: Banking crisis;USA;financial market;economic growth;inflation;GDP;Federal Reserve.;
Type (COBISS): Bachelor thesis/paper
Thesis comment: Univ. v Mariboru, Ekonomsko-poslovna fak.
Pages: 1 spletni vir (1 datoteka PDF (53 str.))
ID: 25047513
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