master's thesis
ZNAČAJ POLITIKE OBVEZNE REZERVE ZA LIKVIDNOST BANKOVNOG SEKTORA EUROSUSTAVA TIJEKOM FINANCIJSKE KRIZE

Šime MIšlov (2016)
University of Split
Faculty of economics Split
Metadata
TitleZNAČAJ POLITIKE OBVEZNE REZERVE ZA LIKVIDNOST BANKOVNOG SEKTORA EUROSUSTAVA TIJEKOM FINANCIJSKE KRIZE : diplomski rad
AuthorŠime MIšlov
Mentor(s)Mario Pečarić (thesis advisor)
Abstract
Kroz analizu i usporedbu standardiziranih, ali i nestandardiziranih mjera monetarne politike ţeli se objasniti glavna problematika ovoga rada koja se odnosi na utjecaj obvezne rezerve na likvidnost bankarskog sistema Eurosustava. Svijet se posljednjih deset godina bori sa globalnom financijskom krizom. Upravo stupanje krize na snagu 2007. godine daje dodatnu vaţnost istraţivanju mjera monetarne politike Eurosustava. U teorijskom djelu rada opisan je pojam i značaj likvidnosti bankarskog sustava, nesmetan tijek likvidnosti u normalnim vremenima te previranja likvidnosti u vrijeme krize. TakoĎer, u teorijskom dijelu su se detaljnije obradile standardizirane i nestandardizirane mjere monetarne politike Eurosustava te njihova upotreba u razdoblju prije financijske krize do danas. U istraţivačkom dijelu rada analizirao se značaj obvezne rezerve u vrijeme financijske krize i usporedila obvezna rezerva sa ostalim instrumentima monetarne politike Eurosustava.
KeywordsEurosystem minimum reserve requirements financial crisis monetary policy
GranterUniversity of Split
Faculty of economics Split
PlaceSplit
StateCroatia
Scientific field, discipline, subdisciplineSOCIAL SCIENCES
Economics
Finance
Study programme typeuniversity
Study levelgraduate
Study programmeEconomics
Academic title abbreviationmag. oec.
Genremaster's thesis
Language Croatian
Defense date2016-08
Parallel abstract (English)
Trough the analysis and comparison of standard and non – standard measures od monetary policy this thesis aims to describe the main issue of this paper concerning the impact of minimum reserve requirements on the liquidity of the Eurosystem's banking system. The world is hit by the financial crisis in the last decade. Precisely, the financial crisis which starded in 2007. gives the importance to research monetary policy measures of the Eurosystem. Theoretical part of this paper described concept and importance of liquidity of banking system, smooth liquidity in normal times and turmoil of liquidity in times of crisis. Also, the theoretical part processed standardized and non-standardized measures of the monetary policy of the Eurosystem and their use in the period before the financial crisis to date. The research part of the work analyzed the importance of minimum reserves in times of financial crisis and compare the obligatory of reserve requirements with the other instruments of monetary policy of the Eurosystem.
Parallel keywords (Croatian)Eurosustav obvezna rezerva financijska kriza monetarna politika
Resource typetext
Access conditionOpen access
Terms of usehttp://rightsstatements.org/vocab/InC/1.0/
URN:NBNhttps://urn.nsk.hr/urn:nbn:hr:124:756551
CommitterIvana Gizdić