The paper discusses financial regulations as a tool to manage financial risk. Except for the introduction to the economic theory of regulations and to risk, the paper contains a review of the so-called macroprudential regulations suitable to manage systemic risk. The last part of the paper discusses desirable directions for the regulations in the area of financial risk for two groups of participants in a financial system: an investor and a household.
Apr 14, 2021
Oct 28, 2020
|Regulacje a ocena ryzyka||Apr 14, 2021|
Parkitna, Agnieszka Górski, Arkadiusz
Kwapisz, Maciej Winiarski, Marcin. Red.
Stańdo-Kawecka, Barbara Kalisz, Tomasz. Red.
Janoś-Kresło, Mirosława Szalonka, Katarzyna. Red.
Burawski, Dariusz Winiarski, Marcin. Red.
Wicka, Aleksandra Jakubowski, Sebastian. Red.