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Title:Analiza finančnega stresa v izbranih državah evrskega območja
Authors:ID Kovačec, Natalija (Author)
ID Romih, Dejan (Mentor) More about this mentor... New window
Files:.pdf VS_Kovacec_Natalija_2023.pdf (2,08 MB)
MD5: E8DCF877776EA8DEDC3325F54B9F8F54
 
Language:Slovenian
Work type:Bachelor thesis/paper
Typology:2.11 - Undergraduate Thesis
Organization:EPF - Faculty of Business and Economics
Abstract:Finančna kriza leta 2008 je povzročila motnje v delovanju finančnega sistema. S tem je spodbudila oblikovalce ekonomske politike k opazovanju in spremljanju finančnega stresa v finančnem sistemu ali njegovih delov. Za merjenje finančnega stresa se uporabljajo indeksi finančnega stresa. V evrskem območju uporabljamo sestavljeni kazalnik sistemskega stresa oz. CISS, s katerim merimo trenutno stanje finančne nestabilnosti v finančnem sistemu. Ta indeks uporabljajo ekonomisti in oblikovalci ekonomske politike, kot je Evropska centralna banka. V diplomskem delu bomo obravnavali finančni stres v izbranih državah evrskega območja. Na koncu bomo podali priporočila za oblikovalce ekonomske politike. Omejili se bomo na štiri države evrskega območja: Francijo, Italijo, Nemčijo, Španijo ter na obdobje pred finančno krizo leta 2008 in po njej. Ugotovili smo, da je finančna kriza leta 2008 vplivala na povečanje finančnega stresa v vseh štirih državah. Dosedanje raziskave kažejo, da finančni stres negativno vpliva na gospodarstvo. Za oblikovalce ekonomske politike je pomembno, da pozorno opazujejo in spremljajo razmere na finančnem trgu.
Keywords:CISS, evrsko območje, finančni stres
Place of publishing:Maribor
Publisher:N. Kovačec
Year of publishing:2023
PID:20.500.12556/DKUM-85337 New window
UDC:336.69
COBISS.SI-ID:169101059 New window
Publication date in DKUM:19.10.2023
Views:538
Downloads:75
Metadata:XML RDF-CHPDL DC-XML DC-RDF
Categories:EPF
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Licences

License:CC BY-NC-ND 4.0, Creative Commons Attribution-NonCommercial-NoDerivatives 4.0 International
Link:http://creativecommons.org/licenses/by-nc-nd/4.0/
Description:The most restrictive Creative Commons license. This only allows people to download and share the work for no commercial gain and for no other purposes.
Licensing start date:27.08.2023

Secondary language

Language:English
Title:Analysis of financial stress in selected euro area coutries
Abstract:The 2008 financial crisis caused disruptions in the functioning of the financial system. This prompted economic policy-makers to monitor and track financial stress in the financial system or parts of it. Financial stress indices are used to measure financial stress. In the euro area, we use a Composite Indicator of Systemic Stress (CISS), which measures the current level of financial instability in the financial system. This index is used by economists and economic policy-makers, such as the European Central Bank. In this paper, we will look at financial stress in selected euro area countries and make recommendations for economic-policy makers at the end of the paper. We will focus on four EU countries: France, Italy, Germany, and Spain and on the period before and after the 2008 financial crisis. We found that the 2008 financial crisis led to an increase in financial stress in all four countries. Previous research shows that financial stress has negative effects on the economy. It is important for economic policy-makers to closely monitor and supervise financial market situation.
Keywords:CISS, euro area, financial stress


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