期刊名称:Annals of the University of Oradea : Economic Science
印刷版ISSN:1222-569X
电子版ISSN:1582-5450
出版年度:2009
卷号:XVIII
期号:03
出版社:University of Oradea
摘要:As a result of the financial market globalization during the last two decades, the conventional barriers
between financial activities have diminished. This led to the emergence of financial holdings that operate
both in the banking sector and on the stock and insurance markets, which provide the whole range of
financial services. The consequence of this tendency is the increasing concern towards the identification of
optimal institutional structures responsible for the regulation and supervision of the financial market. The
aim of this article is to analyze the models for financial market regulation and supervision. We discuss the
effect of European integration on prudential supervision in European Union. Finally, we examine the
model of financial supervision in Romania.
关键词:models of prudential supervision, consolidated supervision, traditional supervision, central
bank