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Title:VZROKI ZA NASTANEK FINANČNE KRIZE IN UKREPI ZA ODPRAVO
Authors:ID Dekleva, Mart (Author)
ID Kampuš-Trop, Vida (Mentor) More about this mentor... New window
Files:.pdf VS_Dekleva_Mart_2011.pdf (1,68 MB)
MD5: 377EF0539A3E053D5135B63E8BCE6FE7
PID: 20.500.12556/dkum/1a1f0062-12e0-4f64-8996-3115e0f0da8a
 
Language:Slovenian
Work type:Undergraduate thesis
Organization:FOV - Faculty of Organizational Sciences in Kranj
Abstract:Namen diplomske naloge je predstaviti zadnjo finančno krizo na način, ki bo razumljiv tudi ljudem iz drugih vej gospodarstva, ne samo iz ekonomskih smeri. Ključni podatki diplomske naloge so razdeljeni v tri različne sklope, ki dajo bralcu širok spekter informacij o zadnji finančni krizi. Cilj prvega sklopa informacij je podaja splošne predstave, kaj sploh finančna kriza je in kako je finančni sektor povezan z gospodarstvom. Drugi sklop je namenjen identifikaciji ključnih vzrokov za nastanek zadnje finančne krize, tretji pa predstavlja ključne rešitve, ki so jih sprejemale posamezne države in inštitucije, ter nekateri že vidni rezultati teh ukrepov. Kljub temu da je gibanje finančnih trgov podobno ostalemu gospodarstvu, so v vsaki krizi določeni dejavniki, ki so značilni za posamezno krizo. Pomemben je tudi pristop k odpravljanju posledic finančne krize. Vprašanje je, ali lahko za nastale težave uporabimo enake rešitve na različnih finančnih trgih ali je potreben individualen pristop za vsako področje posebej.
Keywords:gospodarstvo, finančna kriza, vzroki, ukrepi, odprava posledic finančne krize.
Place of publishing:Maribor
Year of publishing:2011
PID:20.500.12556/DKUM-21531 New window
COBISS.SI-ID:6980115 New window
NUK URN:URN:SI:UM:DK:L8RQUYIU
Publication date in DKUM:16.02.2012
Views:5494
Downloads:1313
Metadata:XML DC-XML DC-RDF
Categories:FOV
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Secondary language

Language:English
Title:REASONS FOR THE FINANCIAL CRISIS AND MEASURES FOR ITS ELIMINATION
Abstract:The purpose of this diploma is to present the last financial crisis in a way that is comprehensive to people with other areas of expertise than economic. Key facts from this diploma are presented in three parts to give a reader a wide spectrum of information about the last financial crisis. The goal of the first part is to explain in general what a financial crisis is and how financial and real sector interact. The second part will indentify key causes for the last financial crisis and the third part will introduce key masures that different countries and institutions used, also some results of that measures. Despite some similarities between movements of financial markets to the economy we can see fators that are specific to each crisis. Also important is the approach to managing the consequences of the financial crisis. A question presents whether the same approaches can be used for problems presented in different financial markets or do we need a different approach for each situation.
Keywords:Economy, Financial crisis, Causes, Measures, Managing the consequences of the financial crisis.


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