期刊名称:Analele Universităţii Constantin Brâncuşi din Târgu Jiu : Seria Economie
印刷版ISSN:1844-7007
出版年度:2012
卷号:3
出版社:Academica Brâncuşi
摘要:The main objective of our article is to analyze the financial stability of Romanian country, to highlight whether the envisaged period of our analysis (2009-2012) is or not a period of financial stability. The analysis reveals both, elements with good evolution, and vulnerabilities of the system, caused by poor macro-prudential orientation of policies on financial stability, the interdependencies and risk spreading techniques, characteristics to globalization. In addition, we have given the importance of both defining the concept of financial stability and ways to measure and characterize the financial system