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The issue of bank security on optimizing the business model within the bank

cris.sourceIdoai:irek.ase.md:1234567890/1112
dc.creatorGîrlea, Mihail
dc.creatorȘtefaniuc, Olga
dc.date2021-02-18T08:25:08Z
dc.date2021-02-18T08:25:08Z
dc.date2020-12
dc.date.accessioned2023-11-13T10:16:59Z
dc.date.available2023-11-13T10:16:59Z
dc.descriptionGÎRLEA, Mihail, ȘTEFANIUC, Olga. The issue of bank security on optimizing the business model within the bank = Problematica securității bancare asupra optimizării modelului de afaceri în cadrul băncii. In: Economic security in the context of sustenable development [online]: The Collection of the International Scientific-Practical Conference, December 11, 2020, ASEM, Chișinău, Moldova. Chişinău: ASEM, 2021, pp. 164-175. ISBN 978-9975-155-01-4.
dc.descriptionSince the inception of the financial crisis of 2007-2009, the banking sector in Europe has been undergoing fundamental changes. Following the major fallouts of large banking groups – in particular those with excessively risky business models combined with the trillions incurred in losses and subsequent taxpayerfunded government bailouts to keep the European banking sector afloat – a wave of re-regulation was undertaken to bring back eroded market confidence and to safeguard financial stability. This led to major restructuring and waves of deleveraging with fundamental implications for the future of the European banking sector and financial intermediation. While the economic crisis has triggered policy responses to stimulate lending to the real economy while assuring the stability of the banking sector that provides breathing space in the short run, deep restructuring of many banking systems will be needed in the medium-term. In this changing context of evolving market structures and regulations, the banks’ business models analysis can provide market participants, depositors, creditors, regulators and supervisors with a useful tool to better understand the nature of risk attached to each bank business model and its contribution to systemic risk throughout the economic cycle. JEL: E58, G01,G21
dc.formatapplication/pdf
dc.identifier978-9975-155-01-4
dc.identifierhttp://irek.ase.md:80/xmlui/handle/1234567890/1112
dc.identifier.urihttps://cris.ase.md/handle/123456789/2547
dc.languageother
dc.publisherASEM
dc.subjectbank security
dc.subjectbanking sector
dc.subjectsystemic risk
dc.subjectfinancial stability
dc.subjectmacroprudential tools
dc.subjectbank business model
dc.titleThe issue of bank security on optimizing the business model within the bank
dc.titleProblematica securității bancare asupra optimizării modelului de afaceri în cadrul băncii
dc.typeArticle
dspace.entity.typePublication
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