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Financial Stability and Macroprudential Policy

Sidottu, 2026
englanti
102,00 €

This book offers an accessible introduction to financial stability and macroprudential policy with a particular focus on Europe. Covering economic, institutional and regulatory aspects, it is an essential read for professionals and scholars alike. The first part explores the macroprudential mandate, emphasising the importance of monitoring the entire financial system. The second part introduces the fundamentals of macroprudential supervision and addresses various risk types and their assessment. The third part examines macroprudential policy in detail, covering the key players, institutions and tools used to enhance financial stability. Ideal for professionals working in supervisory authorities, commercial banks and central banks, as well as for students of economics and supervisory studies, this book provides a solid foundation for understanding financial system stability and macroprudential policy.

Alaotsikko
A European Perspective
ISBN
9783032297464
Kieli
englanti
Paino
518 grammaa
Julkaisupäivä
28.9.2026
Sivumäärä
140