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With globalisation comes an increase in the threat from systemic
risk. As national economies become more globally entwined many
argue that insufficient attention is being given to systemic risk;
a principal contributor to recent economic crises. Focusing on the
Polish financial system, this book addresses this critical issue
within a global economic context. It advocates that accurate risk
management practices and appropriate micro and macroeconomic
policies can be created and maintained in order to manage systemic
risk at both a national and international level. The book reviews
current systemic risk management practices, analysing stability and
existing micro- and macroprudential policies, before examining the
current risks involved in investing in financial instruments and
those associated with investing in stock exchanges. It offers
suggestions for the effective implementation of a well-designed
public policy, through well managed fiscal and monetary policies,
and reflects the roles of households and companies in planning,
organizing, and controlling socio-economic activity to control
risk. Risk Management in the Polish Financial System aims to
redefine the taxonomy of systemic risk, offering practical and
regulatory socio-economic processes which can be applied to current
risk management practices, as well as provide a risk map for the
years to come.
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R205
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