New crisis management banking sector U.S.

Автор: Boris Siljković, Ranko Đokić, Jadranka Đurović -Todorović

Журнал: Ekonomski signali @esignali

Статья в выпуске: 2 vol.6, 2011 года.

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New banking crisis management in the U.S. follow a loose monetary policy, poor risk management in banks and regulatory gaps in some important segments of the banking system. Weaknesses in the banking sector increased the transfer of U.S. shocks and problems stemming from the real economy. This paper presents the so-called crisis of banking management. bad guys are portrayed as U.S. banks. However, developments in the banking system of the United States, expressed through a new crisis are much broader touching on the basics of economic and financial system of this country. True, more recently, notable some positive tendencies that permeate through the real and thus the U.S. banking sector.

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Management, crisis, banking sector, real sector

Короткий адрес: https://sciup.org/170204229

IDR: 170204229

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