The purpose of this thesis is to offer a contemporary overlook on the widely discussed and problematic topic of bankong crises. This analysis gives a list of banking crises which have ocurred since the 90s. up to now, their causes and definitions, and explains some important macro- and microeconomic reasons for their occurrence.It also shows how current economic theory describes the causes and nature of financial instability, with emphasis on its real effects and high economic, as well as social costs. Based on these findings, this paper offers possible resolutions of problems of the financial system and methods of its stabilization with the aim to prevent future crises. A separate chapter is dedicated to the crises in Argentina 2001, the nordic countries in the late 80s/early 90s, and the Czech republic during its transition period.
Identifer | oai:union.ndltd.org:nusl.cz/oai:invenio.nusl.cz:15478 |
Date | January 2009 |
Creators | Mirazčievová, Michaela |
Contributors | Půlpánová, Stanislava, Paholok, Igor |
Publisher | Vysoká škola ekonomická v Praze |
Source Sets | Czech ETDs |
Language | Czech |
Detected Language | English |
Type | info:eu-repo/semantics/masterThesis |
Rights | info:eu-repo/semantics/restrictedAccess |
Page generated in 0.0018 seconds