Systemic Risks and Financial Fragility I - Colakovic Belma - Grāmatas - LIGHTNING SOURCE UK LTD - 9783659639197 - 2014. gada 17. novembris
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Systemic Risks and Financial Fragility I


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This book contributes to a better understanding of financial system fragility in Bosnia and Herzegovina and similar countries in several ways. It is found that both country and period specifics must be accounted for. Accordingly, each country should develop its own tailored measure of systemic risk, since some of the widely used set of indicators may distort the perception of risk. There are substantial gains in modelling the risks of banking and currency crises as a system. It is demonstrated that even in a country with a simple financial system and dominant banking sector a single model cannot explain the evolution of systemic risk over the cycle. The nature of the risk factors, their relations with the perceived level of fragility, as well as the relationship between the measures of systemic risk were found to differ in pre-shock from the post-shock periods. Finally, it is shown that even simple financial systems are inherently unstable, with destabilizing relationships between the risks of banking and currency crises and developments in the real economy.

Mediji Grāmatas     Paperback Book   (Grāmata ar mīksto vāku un līmēto muguru)
Izlaists 2014. gada 17. novembris
ISBN13 9783659639197
Izdevēji LIGHTNING SOURCE UK LTD
Lapas 476
Izmēri 27 × 150 × 220 mm   ·   727 g
Valoda Vācu  

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