Регулювання та нагляд в фінансовій сфері: модель “Твін пікс”

Автор(и)

  • Є.І. ВИШНЕВСЬКИЙ старший економіст, Національний банк України, Україна

DOI:

https://doi.org/10.37750/2616-6798.2018.3(26).273307

Ключові слова:

фінансове регулювання, глобальна фінансова криза, модель “Твін Пікс”

Анотація

В статті досліджуються питання оптимальної моделі регулювання та нагляду в сфері фінансової діяльності. Систематизується та аналізується теорія та практика використання моделі “Твін пікс”.

Посилання

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2018-09-26

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