{"title":"2019年宏观审慎政策研究:工作综述","authors":"M. Sakovich","doi":"10.2139/ssrn.3776606","DOIUrl":null,"url":null,"abstract":"The financial crisis of 2008-2009 demonstrated the need for a comprehensive approach to risk management of financial institutions and financial area as a whole. Since then, a large number of macroprudential policy studies are published each year. In this paper we provide an overview of the main findings of 19 research papers in 2019. This allows us to draw conclusions about the main directions of current studies and to outline directions for future research.","PeriodicalId":123550,"journal":{"name":"Financial Crises eJournal","volume":"16 1","pages":"0"},"PeriodicalIF":0.0000,"publicationDate":"2020-02-15","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":"0","resultStr":"{\"title\":\"Macroprudential Policy Research in 2019: Working Papers Review\",\"authors\":\"M. Sakovich\",\"doi\":\"10.2139/ssrn.3776606\",\"DOIUrl\":null,\"url\":null,\"abstract\":\"The financial crisis of 2008-2009 demonstrated the need for a comprehensive approach to risk management of financial institutions and financial area as a whole. Since then, a large number of macroprudential policy studies are published each year. In this paper we provide an overview of the main findings of 19 research papers in 2019. This allows us to draw conclusions about the main directions of current studies and to outline directions for future research.\",\"PeriodicalId\":123550,\"journal\":{\"name\":\"Financial Crises eJournal\",\"volume\":\"16 1\",\"pages\":\"0\"},\"PeriodicalIF\":0.0000,\"publicationDate\":\"2020-02-15\",\"publicationTypes\":\"Journal Article\",\"fieldsOfStudy\":null,\"isOpenAccess\":false,\"openAccessPdf\":\"\",\"citationCount\":\"0\",\"resultStr\":null,\"platform\":\"Semanticscholar\",\"paperid\":null,\"PeriodicalName\":\"Financial Crises eJournal\",\"FirstCategoryId\":\"1085\",\"ListUrlMain\":\"https://doi.org/10.2139/ssrn.3776606\",\"RegionNum\":0,\"RegionCategory\":null,\"ArticlePicture\":[],\"TitleCN\":null,\"AbstractTextCN\":null,\"PMCID\":null,\"EPubDate\":\"\",\"PubModel\":\"\",\"JCR\":\"\",\"JCRName\":\"\",\"Score\":null,\"Total\":0}","platform":"Semanticscholar","paperid":null,"PeriodicalName":"Financial Crises eJournal","FirstCategoryId":"1085","ListUrlMain":"https://doi.org/10.2139/ssrn.3776606","RegionNum":0,"RegionCategory":null,"ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":null,"EPubDate":"","PubModel":"","JCR":"","JCRName":"","Score":null,"Total":0}
Macroprudential Policy Research in 2019: Working Papers Review
The financial crisis of 2008-2009 demonstrated the need for a comprehensive approach to risk management of financial institutions and financial area as a whole. Since then, a large number of macroprudential policy studies are published each year. In this paper we provide an overview of the main findings of 19 research papers in 2019. This allows us to draw conclusions about the main directions of current studies and to outline directions for future research.