Please use this identifier to cite or link to this item: https://irek.ase.md:443/xmlui/handle/123456789/64
Title: Sectorul bancar în cadrul sistemului de asigurare a stabilităţii financiare
Authors: Cobzari, Ludmila
Mărgineanu, Aureliu
Keywords: stabilitate financiară
sector bancar
supraveghere macroprudentială
zona euro
risc bancar
Issue Date: 2013
Publisher: Academia de Studii Economice din Moldova
Series/Report no.: Analele ASEM;ediţia a XI-a. Nr.1 / 2013
Abstract: Financial system requires that its main components respectively, markets, financial institutions and infrastructures to be able to absorb disturbances together. The stability also requires that the financial system to facilitate rapid smooth and efficient reallocation of financial resources of savers to investors, the financial risk is analyzed and accurately valued and that it be managed effectively. Given the profound transformations that have suffered financial systems under the action of powerful movements of technological innovation, liberalization and globalization that has occurred in the last decades, the achievement of financial stability is one of the new challenges that face contemporary economies. Financial stability is a natural concern, and lately has become one a priority for central banks, which is leading the national financial systems.
URI: http://irek.ase.md:80/xmlui/handle/123456789/64
Appears in Collections:2.Articole

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