Cadrul internaţional de supraveghere macroprudenţială a pieţelor financiar-bancare
Journal Title: Revista Romana de Statistica - Year 2016, Vol 64, Issue 5
Abstract
Politica macroprudenţială vizează: prevenirea acumulării excesive de riscuri generate de factori externi și de deficiențe ale pieței, pentru atenuarea fluctuațiilor ciclului financiar (dimensiune temporală); sporirea rezistenței sectorului financiar și limitarea efectelor de contagiune (dimensiune transversală); încurajarea unei perspective la nivelul sistemului în ansamblu în domeniul reglementării financiare, pentru a crea un set corespunzător de stimulente pentru participanții pe piață (dimensiune structurală).
Authors and Affiliations
Gabriela Victoria ANGHELACHE, Mădălina Gabriela ANGHEL, Daniel DUMITRESCU, Marius POPOVICI
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