Financial stability

Mariusz Zygierewicz

Abstract


The subject of this article is the actual review of definition of financial stability. After last crisis on financial market we observe that the progress made in area of adoption of single definition. We observe such principal differences as defining financial stability and financial instability. The majority of definition takes into account the broad definition of stability, including institutions, markets, infrastructure, sometimes also the institution from real economy. Particularly interesting is the discussion concerning the relation between stability and financial assets bubble and ability of financial sector to mitigate internal or external shocks in order to achieve financial stability. These definitions have however only limited usefulness in practice for current activity of public bodies which are responsible for monitoring and maintaining financial stability.

Keywords


stability; financial sector

Full Text:

PDF (Język Polski)

References


Allen A., Wood G., Defining and achieving financial stability, LSE Financial Markets Group, Special Paper no 160, April 2005.

Belouafi A., Islamic Finance and Financial Stability, A Review of Theoretical Literature, King Abdul Aziz University, Jeddah, 15 December 2012.

Capiga M., Gradoń W., Szustak G., Sieć bezpieczeństwa finansowego, CeDeWu, Warszawa 2010.

Crockett A., The theory and practice of financial stability, Essays in International Finance, no 203, Princeton Univeristy, Princeton, April 1997.

Crockett A., Why is Financial Stability a Goal of Public Policy, Publication of Symposium organised by Federal Reserve Bank, Kansas City, 1997.

Ferguson R., Should Financial Stability Be an Explixit Central Bank Objective?, [w:] Monetary Stability, Financial Stability and the Business Cycle: Five Views, BIS Paper No 18, September 2003.

Foot M., Protecting financial stability – how good we are at?, Speech. University of Birmingham, 6 June 2003.

Foot M., What is financial stability and How do we get it?, The Roy Bridge Memorial Lecture, Financial Services Authority, April 2003.

Galati G., Moessner R., Macroprudential policy – a literature review, BIS Working Paper, no 337.

Issing O., Monetary and financial stability – is there a tade-off?, Speech at the Conference on „Monetary Stability, Financial Stability and the Business Cycle”, BIS, Basel, 28–29 March 2003.

Jurkowska A., Światowe dobro publiczne, „Gazeta Bankowa” z 14 lutego 2005,

Jurkowska-Zeidler A., Bezpieczeństwo rynku finansowego w świetle prawa Unii Europejskiej, Oficyna Wolters Kluwer Business, Warszawa 2008.

Kiedrowska M., Marszałek P., Stabilność finansowa – pojęcie, cechy i sposoby jej zapewnienia, „Bank i Kredyt” 2002, nr 3 i 4.

Minsky H., The Financial Instability Hypothesis, Levy Economics Institute, Working Paper no 74, May 1992.

Mishkin F., The Causes and Propagation of Financial Instability: Lessons for Policymakers, [w:] Maintaining Financial Stability in a Global Economy, Federal Reserve Bank of Kansas City, August 1997.

Padoa-Schioppa T., Central Banks and Financial Stability: Exploring the Land in Between, EBC, Frankfurt, 24–25 October 2002.

Rosengren E., Defining Financial Stability, and some Policy Implications of Applying the Definition, Keynote Remarks by President of Federal Reserve Bank of Boston at Stanfort Finance Forum, Stanfort University, 3 June 2011.

Schinasi G., Defining Financial Stability, IMF Working Paper no. WP/04/187, October 2004.

Schinasi G., Understanding Financial Stability: Towards a Practical Framework, IMF, February 2007.

Solarz J.K., Międzynarodowy system finansowy. Analiza instytucjonalno-porównawcza, Biblioteka Menedżera i Bankowca, Warszawa 2001.

Szczepańska O., Stabilność finansowa jako cel banku centralnego, Wydawnictwo Naukowe Scholar, Warszawa 2008.

Szpunar P., Rola polityki makroostrożnościowej w zapobieganiu kryzysom finansowym, Materiały i Studia nr 278, NBP, Warszawa 2012.

Wasiak K., Stabilność systemu finansowego a cykl koniunkturalny, [w:] A. Alińska (red), Polityka monetarna i fiskalna a stabilność sektora finansowego, CeDeWu, Warszawa 2012.




DOI: http://dx.doi.org/10.17951/h.2013.47.3.685
Date of publication: 2015-07-23 22:18:28
Date of submission: 2015-07-23 13:39:02


Statistics


Total abstract view - 396
Downloads (from 2020-06-17) - PDF (Język Polski) - 0

Indicators



Refbacks

  • There are currently no refbacks.


Copyright (c) 2015 Mariusz Zygierewicz

Creative Commons License
This work is licensed under a Creative Commons Attribution 4.0 International License.