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Sustenabilitatea procesului de convergenta nominalala si reala în cadrul UE în contextul crizei financiare; implicatii asupra cadrului de reglementare prudentiala

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  • Triandafil, Cristina Maria

    (Institutul National de Cercetari Economice al Academiei Române, Banca Nationala a României)

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    Abstract

    This postdoctoral research aimed to highlight sustainability convergence criteria in the context of financialisation, with impact on the prudential regulator. Based on complex analysis, the research work has revealed that countries in Central and Eastern Europe still face significant macroeconomic risks caused by fragile macroeconomic structures. These countries have been undergoing a catching up process that contributes to the amplification of divergence across the European Union. Being heavily dependent on external financial flows, these countries involve a high macro-prudential risk, affecting the pace of real convergence.

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    Bibliographic Info

    Paper provided by National Institute of Economic Research in its series Studii Economice with number 130909.

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    Length: 147 pages
    Date of creation: Sep 2013
    Date of revision:
    Handle: RePEc:ror:seince:130909

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    Related research

    Keywords: convergence; macro-prudential; sustenability; nominal and real economy;

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    Cited by:
    1. Iancu, Aurel, 2013. "Financialisation: Structure, Extent, Consequences," Journal for Economic Forecasting, Institute for Economic Forecasting, vol. 0(2), pages 172-192, June.

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