Metrika

  • citati u SCIndeksu: [2]
  • citati u CrossRef-u:[2]
  • citati u Google Scholaru:[]
  • posete u poslednjih 30 dana:15
  • preuzimanja u poslednjih 30 dana:13

Sadržaj

članak: 1 od 1  
2019, vol. 5, br. 2, str. 7-21
Ključne determinante razvoja finansijskog sistema
Univerzitet u Kragujevcu, Ekonomski fakultet

e-adresamgrbic@kg.ac.rs
Ključne reči: finansijski sistem; političko i makroekonomsko okruženje; pravno tradicija; fnansijska regulativa i supervizija
Sažetak
Finansijski sistem predstavlja jedan od najznačajnijh segmenata svake tržišne privrede. Složenost funkcionisanja finansijskog sistema i značaj koji ima za realne tokove u privredi zahteva razmatranje brojnih faktora koji determinišu njegov razvoj. Stoga, cilj ovog rada je identifikacija ključnih determinanti razvoja finansijskog sistema i ukazivanje na njihove pozitivane i/ili negativane efekte na performanse finansijskog sistema. Uvažavajući složenost navedene problematike, u radu je primenjena kvalitativna metodologija, utemeljena na dominantnoj primeni metoda analitičke deskripcije. Rezultati istraživanja ukazju da se među najuticajnijim faktorima koji opredeljuju razvoj finansijskog sistema izdvajaju: političko i makroekomsko okruženje, finansijska represija i liberalizacija, pravna tradicija, finansijska regulativa i supervizija i struktura vlasništva finansijskih institucija.
Reference
Andrianova, S., Demetriades, P., Shortland, A. (2010) Government Ownership of Banks, Institutions, and Financial Development. u: Working Paper No. 11/01, University of Leicester
Andrianova, S., Demetriades, P., Shortland, A. (2010) Government ownership of banks, institutions, and financial development. University of Leicester, Working Paper No. 11/01
Arestis, P., Demetriades, P.O. (1999) Financial liberalization: The experience of developing economies. Eastern Economic Journal, 25(4): 441-457
Barth, J.R., Caprio, G., Levine, R. (2004) Bank regulation and supervision: What works best?. Journal of Financial Intermediation, 13(2): 205-248
Bašić, D. (2012) Aktuelni pravci promjena regulacije finansijskog sistema. Acta Economica, 10(16): 173-198
Boyd, J.H., Levine, R., Smith, B.D. (2001) The impact of inflation on financial sector performance. Journal of Monetary Economics, 47(2): 221-248
Božina-Beroš, M. (2012) Finansijska supervizija u Hrvatskoj - između dvije institucije i jednog evropskog trenda. Ekonomski pregled, 5-6 (63). 352-371
Broner, F.A., Ventura, J. (2010) Rethinking the Effects of Financial Liberalization. NBER Working Paper, No. 16640
Caprio, G., Honohan, P. (1999) Beyond capital ideals: Restoring banking stability. Policy Research Working Paper Series, 2235, The World Bank
Cervellati, E.M., Fioriti, E. (2007) Financial Supervision in EU Countries. u: Social Science Research: Paper presented at EFMA annual meeting, Vienna, Austria
Demirgüç-Kunt, A., Detragiache, E. (1999) Financial liberalization and financial fragility. u: Pleskovic B., Stiglitz J. [ur.] Annual World Bank Conference on Development Economics 1998, Washington DC: World Bank, 303-331
Demirgüç-Kunt, A., Laeven, L., Levine, R. (2004) Regulations, Market Structure, Institutions, and the Cost of Financial Intermediation. Journal of Money, Credit, and Banking, 36(3b): 593-622
Detragiache, E., Gupta, P., Tressel, T. (2005) Finance in Lower-Income Countries: An Empirical Exploration. International Monetary Fund Working Paper, WP/05/167
Diaz-Alejandro, C. (1985) Good-bye financial repression, hello financial crash. Journal of Development Economics, 19(1-2): 1-24
Kaminsky, G.L., Reinhart, C.M. (1999) The Twin Crises: The Causes of Banking and Balance-of-Payments Problems. American Economic Review, 89(3): 473-500
Kane, E. (1981) Accelerating Inflation, Technological Innovation, and the Decreasing Effectiveness of Banking Regulation. Journal of Finance, 36(2): 355-367
La, P.R., Lopez-De-Silanes, F., Shleifer, A., Vishny, R.W. (1998) Law and Finance. Journal of Political Economy, 106(6): 1113
La, P.R., Lopez-De-silanes, F., Shleifer, A. (2002) Government ownership of banks. Journal of Finance, 57(1): 265-301
Levine, R. (1998) The Legal Environment, Banks, and Long-Run Economic Growth. Journal of Money, Credit and Banking, 30(3): 596-613
McKinnon, R.I. (1973) Money and Capital in Economic Development. Washington: Brookings Institution
McKinnon, R.L. (1991) The order of economic liberalization: Financial control in the transition to a market economy. Baltimore, MD: Johns Hopkins University Press
Mishkin, F.S. (2006) Monetarna ekonomija, bankarstvo i finansijska tržišta. Beograd: Data status
Rajan, R.G., Zingales, L. (2003) The great reversals: The politics of financial development in the twentieth century. Journal of Financial Economics, 69(1): 5-50
Shaw, E.S. (1973) Financial Deepening in Economic Development. New York: Oxford University Press
Stiglitz, J. (2000) Capital Market Liberalization, Economic Growth, and Instability. World Development, 28(6): 1075-1086
Šoškić, D., Živković, B. (2007) Finansijska tržišta i finansijske institucije. Beograd: Centar za izdavačku delatnost Ekonomskog fakulteta u Beogradu
Vučković, S. (2010) Regulacija finansijskih tržišta nakon svetske ekonomske krize. Megatrend revija, vol. 7, br. 1, str. 33-49
Wymeersch, E. (2007) The Structure of Financial Supervision in Europe: About Single, Twin Peaks and Multiple Financial Supervisors. European Business Organization Law Review, 8(2): 237-306
 

O članku

jezik rada: srpski
vrsta rada: pregledni članak
DOI: 10.5937/Oditor1902007G
objavljen u SCIndeksu: 02.08.2019.
Creative Commons License 4.0

Povezani članci

Privredna izgradnja (2000)
Savremene tendencije i liberalizacija svetske trgovine
Kovačević Radovan

Panoeconomicus (2007)
The money market in Montenegro: Conditions, development and outlook
Vukajlović-Grba Danijela

Panoeconomicus (2008)
Politička ekonomija nominalnih makroekonomskih poremećaja
Satyanath Shanker, i dr.

prikaži sve [61]