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2018 | 63 | 1 (378) | 106-120

Article title

Rozwój nadzoru makroostrożnościowego – metody zapobiegania kryzysom finansowym

Authors

Content

Title variants

EN
Development of Macro-Prudential Supervision – Reasons for Establishing, Main Objectives and Instruments Applied

Languages of publication

PL

Abstracts

EN
International financial crises, primarily that of the year 2007 related to the subprime loans market, indicated the need to introduce solutions that would supplement the area of the State’s impact on the financial market between the traditional macroeconomic policy (including fiscal and monetary issues) and macro-prudential supervision. The macro-prudential policy is aimed at providing such a solution, with its instruments being applied in many countries around the world, also in Poland. The article is an attempt to introduce the topic of macro-prudential supervision. The author presents the reasons for establishing such supervision, the main objectives of the macro-prudential policy, the most important instruments, as well as the examples of their application in Poland.

Year

Volume

63

Issue

Pages

106-120

Physical description

Dates

published
2018-02

Contributors

author
  • Najwyższa Izba Kontroli

References

  • de Bandt O., P. Hartmann. 2000. “Systemic risk: A Survey”. ECB Working Paper 35 : 11-12.
  • Mourlon-Druol E. 2015. Trust is good, control is better: The 1974 Herstatt Bank Crisis and its Implications for International Regulatory Reform¬, 17. Routledge.
  • Crockett A. 2000. Marrying the micro- and macro prudential dimensions of financial stability, 2-4. Bazylea: BIS.
  • Crotty J. 2009. “’Structural causes of the global financial crisis: a critical assessment of the „new financial architecture’”. Cambridge Journal of Economics 33 : 566-567.
  • Fabozzi F. 2000. Rynki obligacji. Analiza i Strategie, 10. Warszawa: Wydawnictwo WIG PRESS.
  • Kruszka M., M. Mokrogulski. 2017. „Wymogi kapitałowe dla europejskich banków o znaczeniu systemowym”.
  • Kwartalnik Naukowy Uczelni Vistula 1(51) : 189.
  • Kochaniak K. 2011. „Kapitał regulacyjny sektora bankowego w Polsce na tle rozwiązań Bazylei III”. Zeszyty Naukowe Polskiego Towarzystwa Ekonomicznego 11 : 156-157.
  • Brzozowski M. 2014. CRD IV, CRR – instrumenty makroostrożnościowe, 3-5. Warszawa: Narodowy Bank Polski
  • Dobrzańska A. 2016. Polityka makroostrożnościowa banku centralnego, 136. Warszawa: Wydawnictwo Difin.

Document Type

Publication order reference

Identifiers

ISSN
0452-5027

YADDA identifier

bwmeta1.element.desklight-5efacb0d-3f8d-449d-983f-2c1e156a0ba8
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