FINANCIAL CRISES AND RISK MANAGEMENT
Ключевые слова:
financial crises, economists, markets, financial institutions, policymakers, speculative behaviorАннотация
Financial crises refer to severe disruptions in financial markets and systems that can lead to economic downturns, asset price declines, and adverse effects on societies. Risk management is the process of identifying, assessing, and mitigating potential risks to ensure financial stability and resilience. Effective risk management practices are essential in preventing and managing financial crises, safeguarding against vulnerabilities, and promoting sustainable economic growth.
Библиографические ссылки
https://www.elibrary.imf.org/view/journals/001/2013/028/article-A001-en.xml
https://www.ecb.europa.eu/pub/pdf/scpwps/ecb.wp2614~6974517ac3.en.pdf
https://uollb.com/blog/law/basel-committee-on-banking-supervision
https://www.ecb.europa.eu/ecb/tasks/stability/strategy/html/index.en.html
https://www.adb.org/sites/default/files/publication/363326/20-years-asian-financial-crisis.pdf