Macroprudential Risk Management Problems in Brexit
Year of publication: |
2018
|
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Authors: | Welfens, Paul J. J. |
Published in: |
Intereconomics. - Heidelberg : Springer, ISSN 1613-964X. - Vol. 53.2018, 5, p. 281-286
|
Publisher: |
Heidelberg : Springer |
Subject: | Brexit | Financial market regulation | Financial market supervision | Financial market sustainability | Stabilization policy |
Type of publication: | Article |
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Type of publication (narrower categories): | Article |
Language: | English |
Other identifiers: | 10.1007/s10272-018-0766-z [DOI] 1040842348 [GVK] hdl:10419/213183 [Handle] RePEc:spr:intere:v:53:y:2018:i:5:d:10.1007_s10272-018-0766-z [RePEc] |
Source: |
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Macroprudential risk management problems in Brexit
Welfens, Paul J. J., (2018)
-
Friedrich, Jan, (2018)
-
Equivalence in Financial Services : A Legal and Policy Analysis
Pennesi, Francesco, (2022)
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Innovations in Macroeconomics.
Welfens, Paul J. J., (2008)
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Telecommunications in systemic transformation : theoretical issues and policy options
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Grundlagen der Wirtschaftspolitik
Welfens, Paul J. J., (1995)
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