Financial Stability

Q3 Economics, Econometrics and Finance Journal of Financial Management Markets and Institutions Pub Date : 2020-04-30 DOI:10.1017/9781108643849.014
{"title":"Financial Stability","authors":"","doi":"10.1017/9781108643849.014","DOIUrl":null,"url":null,"abstract":"Financial stability can be defined as a situation in the economy, characterized by the absence of disproportions, which may cause a negative correction of the financial markets, emergence of a systemic financial crisis or inability of the financial institutions to maintain uniform financial system operations. Financial stability is maintained by adequate regulations of the current and potential risks, by the effectiveness of the risk management and risk redistribution mechanisms, and by the assurance of the public’s confidence in the financial system.","PeriodicalId":34440,"journal":{"name":"Journal of Financial Management Markets and Institutions","volume":"101 1","pages":""},"PeriodicalIF":0.0000,"publicationDate":"2020-04-30","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":"0","resultStr":null,"platform":"Semanticscholar","paperid":null,"PeriodicalName":"Journal of Financial Management Markets and Institutions","FirstCategoryId":"1085","ListUrlMain":"https://doi.org/10.1017/9781108643849.014","RegionNum":0,"RegionCategory":null,"ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":null,"EPubDate":"","PubModel":"","JCR":"Q3","JCRName":"Economics, Econometrics and Finance","Score":null,"Total":0}
引用次数: 0

Abstract

Financial stability can be defined as a situation in the economy, characterized by the absence of disproportions, which may cause a negative correction of the financial markets, emergence of a systemic financial crisis or inability of the financial institutions to maintain uniform financial system operations. Financial stability is maintained by adequate regulations of the current and potential risks, by the effectiveness of the risk management and risk redistribution mechanisms, and by the assurance of the public’s confidence in the financial system.
查看原文
分享 分享
微信好友 朋友圈 QQ好友 复制链接
本刊更多论文
金融稳定
金融稳定可以定义为经济中的一种状况,其特征是不存在可能导致金融市场出现负面修正、出现系统性金融危机或金融机构无法维持统一的金融体系运作的失衡情况。维持金融稳定,离不开对当前和潜在风险的适当监管,离不开风险管理和风险再分配机制的有效性,离不开公众对金融体系的信心。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
求助全文
约1分钟内获得全文 去求助
来源期刊
Journal of Financial Management Markets and Institutions
Journal of Financial Management Markets and Institutions Economics, Econometrics and Finance-General Economics, Econometrics and Finance
CiteScore
1.30
自引率
0.00%
发文量
9
审稿时长
12 weeks
期刊最新文献
Analysing banks' performance during the recent breakdowns. Which were its main drivers? Sustainability Reporting: Evidence From Global Systemically Important Banks (G-SIBs) Risk Mapping as a Form of Banking Immunity Response to Covid-19 Pandemic Green Finance: past, present and future studies The Impact of SFAS166/167 on Bank Liquidity and Lending
×
引用
GB/T 7714-2015
复制
MLA
复制
APA
复制
导出至
BibTeX EndNote RefMan NoteFirst NoteExpress
×
×
提示
您的信息不完整,为了账户安全,请先补充。
现在去补充
×
提示
您因"违规操作"
具体请查看互助需知
我知道了
×
提示
现在去查看 取消
×
提示
确定
0
微信
客服QQ
Book学术公众号 扫码关注我们
反馈
×
意见反馈
请填写您的意见或建议
请填写您的手机或邮箱
已复制链接
已复制链接
快去分享给好友吧!
我知道了
×
扫码分享
扫码分享
Book学术官方微信
Book学术文献互助
Book学术文献互助群
群 号:481959085
Book学术
文献互助 智能选刊 最新文献 互助须知 联系我们:info@booksci.cn
Book学术提供免费学术资源搜索服务,方便国内外学者检索中英文文献。致力于提供最便捷和优质的服务体验。
Copyright © 2023 Book学术 All rights reserved.
ghs 京公网安备 11010802042870号 京ICP备2023020795号-1