QUANTITATIVE EASING PROGRAM OF THE FED AS THE CAUSE OF NEW RISKS TO THE US FINANCIAL SYSTEM
Journal Title: Международный научный журнал "Интернаука" - Year 2016, Vol 1, Issue 3
Abstract
The article describes the main stages of the credit programs and quantitative easing implemented by the Fed during the development of the global economic crisis in 2007–2012. The shown are the most significant negative trends that emerged during the implementation of the quantitative easing program. Proposals to minimize the risks for the real economy, the payment system and deposits of the population, associated with the unstable state of the financial sector.
Authors and Affiliations
Olga Kulygina
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