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Finančná stabilita – faktory a opatrenia

In: Ekonomický časopis/Journal of Economics, vol. 52, no. 10
Tomáš Tőzsér
Detaily:
Rok, strany: 2004, 1179 - 1187
Kľúčové slová:
credit boom, euro, good institutions, risks to financial stability, stability oriented policies, unrealistic expectations JEL Classification: G21, G28, G38, E32, E42, E44
O článku:
In the article we identify factors that pose challenges for domestic financial stability in the long run, that is, after the euro adoption. These factors comprise: persistent large capital inflows, better availability of credit, speculative expecta-tions and lost of the national monetary policy as tool of macro management. To mitigate the potential negative effect of these factors on domestic financial stability we present recommendations for measures of institutional and policy nature. In the short and medium-size period we do not see any immediate threats to domestic financial stability.
Ako citovať:
ISO 690:
Tőzsér, T. 2004. Finančná stabilita – faktory a opatrenia. In Ekonomický časopis/Journal of Economics, vol. 52, no.10, pp. 1179-1187. 0013-3035.

APA:
Tőzsér, T. (2004). Finančná stabilita – faktory a opatrenia. Ekonomický časopis/Journal of Economics, 52(10), 1179-1187. 0013-3035.