Financial stability in the Republic of Moldova
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Ultima descărcare din IBN:
2022-11-17 13:41
SM ISO690:2012
IONAȘ, Ana. Financial stability in the Republic of Moldova. In: Simpozion Ştiinţific Internaţional al Tinerilor Cercetători : Culegere de articole selective, Ed. Ediţia a XVII-a, 24-25 aprilie 2019, Chişinău. Chişinău Republica Moldova: Departamentul Editorial-Poligrafic al ASEM, 2019, Ediţia 17, pp. 136-144. ISBN 978-9975-75-962-5.
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Simpozion Ştiinţific Internaţional al Tinerilor Cercetători
Ediţia 17, 2019
Conferința "Simpozion Ştiinţific Internaţional al Tinerilor Cercetători"
Ediţia a XVII-a, Chişinău, Moldova, 24-25 aprilie 2019

Financial stability in the Republic of Moldova

JEL: G300,G320,G380

Pag. 136-144

Ionaș Ana
 
Academia de Studii Economice din Moldova
 
 
Disponibil în IBN: 4 decembrie 2019


Rezumat

Financial stability is a key condition for the functioning of the national economy and can be defined as a situation in the economy, characterized by the lack of imbalances that could lead to a negative correction of financial markets, the emergence of a systemic financial crisis or the inability of financial institutions to maintain a uniform financial operations. Financial stability is maintained through appropriate regulation of current and potential risks, effective management of risk management and redistribution mechanisms, and confidence in the financial system.  

Cuvinte-cheie
financial system, financial stability, financial crises, Instability, Risk