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dc.contributor.authorEstrada García, Angel
dc.contributor.authorSaurina, Jesús
dc.coverage.spatialEspaña
dc.date.accessioned2020-04-03T07:01:11Z
dc.date.available2020-04-03T07:01:11Z
dc.date.issued2016-05
dc.identifier.urihttps://repositorio.bde.es/handle/123456789/11304
dc.descriptionArtículo de revista
dc.description.abstractIn this paper we review the experience of the last Spanish boom and bust to cast some reflections on macroprudential policy. These reflections take place in a country, Spain that is a (relatively small) member of a larger monetary union, which also has a single banking microsupervisor as well as a central bank, the ECB that can top-up national macroprudential decisions. Beyond the euro zone, the experience of the Spanish lending boom-bust maybe also interesting for other policy makers, with a full array of tools to tame the lending cycle.
dc.format.extent27 p.
dc.language.isoeng
dc.relation.ispartofRevista de Estabilidad Financiera / Banco de España, 30 (mayo 2016), p. 35-61
dc.rightsReconocimiento-NoComercial-CompartirIgual 4.0 Internacional (CC BY-NC-SA 4.0)
dc.rightsIn Copyright - Non Commercial Use Permitted
dc.rights.urihttps://creativecommons.org/licenses/by-nc-sa/4.0/deed.es_ES
dc.rights.urihttp://rightsstatements.org/vocab/InC-NC/1.0/
dc.titleSpanish boom-bust and macroprudential policy
dc.typeArtículo
dc.identifier.bdebib000356303
dc.identifier.bdepubREFI-2016-30-035
dc.subject.bdeCréditos
dc.subject.bdeCrisis bancarias
dc.subject.bdeRegulación y supervisión de instituciones financieras
dc.publisher.bdeMadrid : Banco de España, 2016
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