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Title:Finančni stres v Združenem kraljestvu
Authors:ID Ciringer, Luka (Author)
ID Romih, Dejan (Mentor) More about this mentor... New window
ID Taškar Beloglavec, Sabina (Comentor)
Files:.pdf UN_Ciringer_Luka_2026.pdf (1,49 MB)
MD5: C159798BD4D6557CF966C246A500A27D
 
Language:Slovenian
Work type:Bachelor thesis/paper
Typology:2.11 - Undergraduate Thesis
Organization:EPF - Faculty of Business and Economics
Abstract:Finančni stres je pomemben pokazatelj razmer v finančnem sistemu, saj odraža povečano negotovost, večjo volatilnost, likvidnostne pritiske ter poslabšanje zaupanja na finančnih trgih. V diplomskem delu bomo obravnavali finančni stres v Združenem kraljestvu, ki se je v zadnjih letih soočalo z več pomembnimi gospodarskimi in finančnimi šoki. Osredotočili se bomo na globalno finančno krizo, brexit, pandemijo COVID-19 in rusko-ukrajinsko vojno. V delu bomo najprej predstavili finančno stabilnost in nestabilnost, finančni stres ter njegove vzroke in posledice. V empiričnem delu bomo analizirali gibanje finančnega stresa s pomočjo kazalnikov CISS, CLIFS in SovCISS. Pričakujemo, da bo analiza pokazala, da se finančni stres v Združenem kraljestvu ob večjih krizah poveča, vendar se ne pojavi vedno v istih segmentih finančnega sistema. Na koncu bomo podali tudi priporočila za oblikovalce ekonomske politike, predvsem glede spremljanja finančnega stresa, krepitve odpornosti finančnega sistema in pravočasnega odzivanja na gospodarske šoke.
Keywords:finančni stres, finančna stabilnost, Združeno kraljestvo, CISS, CLIFS, SovCISS.
Place of publishing:Maribor
Publisher:L. Ciringer]
Year of publishing:2026
PID:20.500.12556/DKUM-99592 New window
UDC:336.7(410)
COBISS.SI-ID:291838211 New window
Publication date in DKUM:21.09.2026
Views:121
Downloads:6
Metadata:XML DC-XML DC-RDF
Categories:EPF
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Licences

License:CC BY-NC-ND 4.0, Creative Commons Attribution-NonCommercial-NoDerivatives 4.0 International
Link:http://creativecommons.org/licenses/by-nc-nd/4.0/
Description:The most restrictive Creative Commons license. This only allows people to download and share the work for no commercial gain and for no other purposes.
Licensing start date:20.08.2026

Secondary language

Language:English
Title:Financial stress in the United kingdom
Abstract:Financial stress is an important indicator of conditions in the financial system, as it reflects increased uncertainty, heightened volatility, liquidity pressures and declining confidence in financial markets. In this thesis, we will examine financial stress in the United Kingdom, which has experienced several significant economic and financial shocks in recent years. We will focus on the global financial crisis, Brexit, the COVID-19 pandemic and the Russian-Ukrainian war. In this thesis, we will first present financial stability and instability, financial stress, and its causes and consequences. In the empirical part, we will analyse movements in financial stress using the CISS, CLIFS and SovCISS indicators. We expect the analysis to show that financial stress in the United Kingdom increases during major crises but does not always emerge in the same parts of the financial system. Finally, we will provide recommendations for economic policymakers, mainly regarding the monitoring of financial stress, strengthening the resilience of the financial system, and responding to economic shocks in a timely manner.
Keywords:financial stress, financial stability, United Kingdom, CISS, CLIFS, SovCISS.


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