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Risk Management in the Polish Financ...
~
Raczkowski, Konrad.
Risk Management in the Polish Financial System
Record Type:
Language materials, printed : Monograph/item
Title/Author:
Risk Management in the Polish Financial System/ by Marian Noga, Konrad Raczkowski, Jarosław Klepacki.
Author:
Noga, Marian.
other author:
Raczkowski, Konrad.
Description:
XIV, 261 p.online resource. :
Contained By:
Springer Nature eBook
Subject:
Risk management. -
Online resource:
https://doi.org/10.1057/9781137549020
ISBN:
9781137549020
Risk Management in the Polish Financial System
Noga, Marian.
Risk Management in the Polish Financial System
[electronic resource] /by Marian Noga, Konrad Raczkowski, Jarosław Klepacki. - 1st ed. 2015. - XIV, 261 p.online resource.
1. National Systemic Risk Management -- 2. Stability of the Polish Financial System and the Risk Involved -- 3. Management of Financial Stability Risk -- 4. The Risk of Investing in Financial Instruments -- 5. Strategic Risks of Investing in Stock Exchange.
With globalisation comes an increase in the threat from systemic risk. As national economies become more globally entwined many argue that insufficient attention is being given to systemic risk; a principal contributor to recent economic crises. Focusing on the Polish financial system, this book addresses this critical issue within a global economic context. It advocates that accurate risk management practices and appropriate micro and macroeconomic policies can be created and maintained in order to manage systemic risk at both a national and international level. The book reviews current systemic risk management practices, analysing stability and existing micro- and macroprudential policies, before examining the current risks involved in investing in financial instruments and those associated with investing in stock exchanges. It offers suggestions for the effective implementation of a well-designed public policy, through well managed fiscal and monetary policies, and reflects the roles of households and companies in planning, organizing, and controlling socio-economic activity to control risk. Risk Management in the Polish Financial System aims to redefine the taxonomy of systemic risk, offering practical and regulatory socio-economic processes which can be applied to current risk management practices, as well as provide a risk map for the years to come.
ISBN: 9781137549020
Standard No.: 10.1057/9781137549020doiSubjects--Topical Terms:
559158
Risk management.
LC Class. No.: HD61
Dewey Class. No.: 658.155
Risk Management in the Polish Financial System
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by Marian Noga, Konrad Raczkowski, Jarosław Klepacki.
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1. National Systemic Risk Management -- 2. Stability of the Polish Financial System and the Risk Involved -- 3. Management of Financial Stability Risk -- 4. The Risk of Investing in Financial Instruments -- 5. Strategic Risks of Investing in Stock Exchange.
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With globalisation comes an increase in the threat from systemic risk. As national economies become more globally entwined many argue that insufficient attention is being given to systemic risk; a principal contributor to recent economic crises. Focusing on the Polish financial system, this book addresses this critical issue within a global economic context. It advocates that accurate risk management practices and appropriate micro and macroeconomic policies can be created and maintained in order to manage systemic risk at both a national and international level. The book reviews current systemic risk management practices, analysing stability and existing micro- and macroprudential policies, before examining the current risks involved in investing in financial instruments and those associated with investing in stock exchanges. It offers suggestions for the effective implementation of a well-designed public policy, through well managed fiscal and monetary policies, and reflects the roles of households and companies in planning, organizing, and controlling socio-economic activity to control risk. Risk Management in the Polish Financial System aims to redefine the taxonomy of systemic risk, offering practical and regulatory socio-economic processes which can be applied to current risk management practices, as well as provide a risk map for the years to come.
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Economics and Finance (R0) (SpringerNature-43720)
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