Elemente privind instrumentele macroprudenţiale pentru a asigura stabilitatea financiară

Journal Title: Revista Romana de Statistica - Year 2016, Vol 64, Issue 5

Abstract

Stabilitatea financiară reprezintă o situație, cu scopul de a promova creșterea economiei în timp ce majoritatea tranzacțiilor sunt efectuate prin intermediul sistemului financiar. Lipsa stabilității financiare indică valoarea sa reală. In vremuri de instabilitate financiară, băncile tind să fie mai rezervate în ceea ce privește finanțarea proiectelor profitabile, prețurile bunurilor s-ar putea abate de la valoarea lor intrinsecă și programul de plăţi poate varia în conformitate cu normele în vigoare. Instabilitatea financiară ar putea avea un efect distructiv asupra întregii credibilităţi a sistemui. S-ar putea genera falimentul, hiperinflația sau prăbușirea pieței de capital.

Authors and Affiliations

Constantin ANGHELACHE, Emilia STANCIU, Marius POPOVICI, Alexandru URSACHE

Keywords

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  • EP ID EP101816
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How To Cite

Constantin ANGHELACHE, Emilia STANCIU, Marius POPOVICI, Alexandru URSACHE (2016). Elemente privind instrumentele macroprudenţiale pentru a asigura stabilitatea financiară. Revista Romana de Statistica, 64(5), 79-85. https://www.europub.co.uk/articles/-A-101816