Methodological aspects of improving of financial regulatory system
Keywords:
financial market, financial reform, the methodology of financial market regulation
Abstract
The methodology of financial market regulation is discussed. It is found that a key change in financial regulation would be to move from a policy of tightening and expanding to strategic management. This approach is the important issue of the definition of key management goals and needs to develop a new paradigm rather than reform, focusing on tightening regulations that limit the review of the existing regulatory requirements.Downloads
Download data is not yet available.
Published
2015-04-18
How to Cite
Ломтатидзе, О. В., & Тинякова, В. И. (2015). Methodological aspects of improving of financial regulatory system. Modern Economics: Problems and Solutions, 12, 152-163. Retrieved from https://journals.vsu.ru/meps/article/view/7798
Issue
Section
Статьи