dc.contributor.author | ŞTEFÎRŢĂ, Natalia | |
dc.date.accessioned | 2020-10-08T14:58:25Z | |
dc.date.available | 2020-10-08T14:58:25Z | |
dc.date.issued | 2019 | |
dc.identifier.citation | ŞTEFÎRŢĂ, Natalia. Modernizarea administraţiei publice, determinarea vulnerabilităţii din sectorul bancar şi aplicarea măsurilor de reglementare macroproductivă. In: Teoria şi practica administrării publice. 17 mai 2019, Chișinău. Chișinău, 2019, pp. 58-64. ISBN 978-9975-3240-4-5. | en_US |
dc.identifier.isbn | 978-9975-3240-4-5 | |
dc.identifier.uri | http://repository.utm.md/handle/5014/10595 | |
dc.description.abstract | The recent global financial crises have demonstrated the importance of understanding the sources of internal and global vulnerabilities that can lead to systemic financial imbalances. Early detection of vulnerability sources becomes important for regulatory action in a timely manner to reduce the growing vulnerability. These macroeconomic policy measures produce a stabilizing effect. The financial crisis has not accelerated the extreme spiral of falling prices, rising debt burdens and the chain of bankruptcies, as is the vulnerability of some economists. | en_US |
dc.language.iso | ro | en_US |
dc.publisher | Academia de Administrare Publică | en_US |
dc.rights | Attribution-NonCommercial-NoDerivs 3.0 United States | * |
dc.rights.uri | http://creativecommons.org/licenses/by-nc-nd/3.0/us/ | * |
dc.subject | financial crisis | en_US |
dc.subject | macroeconomic framework | en_US |
dc.subject | internal and global vulnerabilities | en_US |
dc.subject | effect stabilizer | en_US |
dc.subject | volatility indicator | en_US |
dc.title | Modernizarea administraţiei publice, determinarea vulnerabilităţii din sectorul bancar şi aplicarea măsurilor de reglementare macroproductivă | en_US |
dc.type | Article | en_US |
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