出版社:Asociatia Generala a Economistilor din Romania - AGER
摘要:The current financial crisis has reopened debate on the need to improve the regulatory and supervisory framework, both internationally and throughout Europe and led to calls for action from the authorities, aimed, on one hand, to strengthen supervision on financial institutions and, on the other hand, to limit the spread of systemic risk. This study examines, therefore, changes that will occur in the regulatory and supervisory framework and argues the importance accorded to the macro-prudential approach in reforming it.