scholarly journals Macroprudential policy and bank risk

2018 ◽  
Vol 81 ◽  
pp. 203-220 ◽  
Author(s):  
Yener Altunbas ◽  
Mahir Binici ◽  
Leonardo Gambacorta
Author(s):  
Alin Marius Andries ◽  
Florentina Melnic ◽  
Simona Nistor Mutu

2012 ◽  
pp. 32-47
Author(s):  
S. Andryushin ◽  
V. Kuznetsova

The paper analyzes central banks macroprudencial policy and its instruments. The issues of their classification, option, design and adjustment are connected with financial stability of overall financial system and its specific institutions. The macroprudencial instruments effectiveness is evaluated from the two points: how they mitigate temporal and intersectoral systemic risk development (market, credit, and operational). The future macroprudentional policy studies directions are noted to identify the instruments, which can be used to limit the financial systemdevelopment procyclicality, mitigate the credit and financial cycles volatility.


2016 ◽  
Vol 23 (2) ◽  
pp. 120-136
Author(s):  
NGUYEN THANH LIEM ◽  
TRAN HUNG SON ◽  
HOANG TRUNG NGHIA

CFA Digest ◽  
2018 ◽  
Vol 48 (5) ◽  
Author(s):  
Servaas Houben
Keyword(s):  

2020 ◽  
Vol 16 (3) ◽  
pp. 75-100
Author(s):  
Christopher Henderson ◽  
Shaohui Jia ◽  
Charles Mattioli
Keyword(s):  

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