Macroprudential policy
Informacje ogólne
Kod przedmiotu: | 235681-S |
Kod Erasmus / ISCED: |
14.0
|
Nazwa przedmiotu: | Macroprudential policy |
Jednostka: | Szkoła Główna Handlowa w Warszawie |
Grupy: | |
Punkty ECTS i inne: |
3.00 (zmienne w czasie)
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Język prowadzenia: | angielski |
Efekty uczenia się: |
Wiedza: The student should know and understand the interdependencies between the financial and business cycle The student should know what is macroprudential regulation and which tools it uses to stabilise the financial sector The student should know and understand the interdependencies between the macroprudential and monetary, as well as fiscal policies Umiejętności: Student should know how to assess the economic, as well as social effects of macroprudential policy conduct Student should know how to assess the effects of monetary policy depending on the shape of macroprudential policy (in particular in the low interest rates environment) Student should know how to assess and compare the prudential instruments depending on the place and conditions of their utilisation Student should know how to find the data, as well as the economic literature on macroprudential policy Kompetencje społeczne: The student can evaluate the social effects of financial regulation, as well as its ethical aspects The students is able to conduct economic research, as well as to draw and present coherent, as well as logical conclusions |
Zajęcia w cyklu "Semestr zimowy 2024/25" (jeszcze nie rozpoczęty)
Okres: | 2024-10-01 - 2025-02-14 |
Przejdź do planu
PN WT ŚR CZ PT |
Typ zajęć: |
Wykład, 14 godzin
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Koordynatorzy: | (brak danych) | |
Prowadzący grup: | (brak danych) | |
Lista studentów: | (nie masz dostępu) | |
Zaliczenie: |
Przedmiot -
Ocena
Wykład - Ocena |
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Skrócony opis: |
Reasons behind the introduction of macroprudential regulation. Macroprudential regulation and its active utilisation: institutional framework and operationalisation (authorities, goals, tools). The financial cycle (credit and liquidity) and its interconnections with the business cycle. The role of macroprudential policy in macrostabilisation policy. Case studies of macroprudential policy conduct in South Korea, Poland and the European Union. |
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Pełny opis: |
Introduction of macroprudential policy as a new type of macroeconomic and regulatory policy. Description and explanation of links between financial and business cycle, as well as tools and methods of regulatory policy that could be employed to stabilise the economic fluctuations. |
|
Literatura: |
Literatura podstawowa: Barwell R., Macroprudential policy. Taming the wild gyrations of credit flows, debt stocks and asset prices, Palgrave Macmillan, New York 2013 Galati G., Moessner R., Macroprudential policy: a literature review, 'Journal of Economic Surveys', tom 27 nr 5, grudzień 2013 s. 846-878 Galati G., Moessner R., What Do We Know About the Effects of Macroprudential Policy?, 'Economica', tom 85 nr 340, październik 2018, s. 735-770 Literatura uzupełniająca: Scherf G. Financial Stability Policy in the Euro Zone. The Political Economy of National Banking Regulation in an Integrating monetary Union, Springer Gabler, Berlin 2012 ESRB, Flagship Report on Macro-prudential Policy in the Banking Sector, ESRB, Frankfurt am Main, 2014 |
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Uwagi: |
Kryteria oceniania: egzamin tradycyjny-pisemny: 40.00% egzamin testowy: 60.00% egzamin ustny: 0.00% kolokwium: 0.00% referaty/eseje: 0.00% ocena z ćwiczeń: 0.00% inne: 0.00% |
Zajęcia w cyklu "Semestr letni 2023/24" (w trakcie)
Okres: | 2024-02-24 - 2024-09-30 |
Przejdź do planu
PN WT ŚR CZ PT |
Typ zajęć: |
Wykład, 14 godzin
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|
Koordynatorzy: | (brak danych) | |
Prowadzący grup: | (brak danych) | |
Lista studentów: | (nie masz dostępu) | |
Zaliczenie: |
Przedmiot -
Ocena
Wykład - Ocena |
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Skrócony opis: |
Reasons behind the introduction of macroprudential regulation. Macroprudential regulation and its active utilisation: institutional framework and operationalisation (authorities, goals, tools). The financial cycle (credit and liquidity) and its interconnections with the business cycle. The role of macroprudential policy in macrostabilisation policy. Case studies of macroprudential policy conduct in South Korea, Poland and the European Union. |
|
Pełny opis: |
Introduction of macroprudential policy as a new type of macroeconomic and regulatory policy. Description and explanation of links between financial and business cycle, as well as tools and methods of regulatory policy that could be employed to stabilise the economic fluctuations. |
|
Literatura: |
Literatura podstawowa: Barwell R., Macroprudential policy. Taming the wild gyrations of credit flows, debt stocks and asset prices, Palgrave Macmillan, New York 2013 Galati G., Moessner R., Macroprudential policy: a literature review, 'Journal of Economic Surveys', tom 27 nr 5, grudzień 2013 s. 846-878 Galati G., Moessner R., What Do We Know About the Effects of Macroprudential Policy?, 'Economica', tom 85 nr 340, październik 2018, s. 735-770 Literatura uzupełniająca: Scherf G. Financial Stability Policy in the Euro Zone. The Political Economy of National Banking Regulation in an Integrating monetary Union, Springer Gabler, Berlin 2012 ESRB, Flagship Report on Macro-prudential Policy in the Banking Sector, ESRB, Frankfurt am Main, 2014 |
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Uwagi: |
Kryteria oceniania: egzamin tradycyjny-pisemny: 40.00% egzamin testowy: 60.00% egzamin ustny: 0.00% kolokwium: 0.00% referaty/eseje: 0.00% ocena z ćwiczeń: 0.00% inne: 0.00% |
Zajęcia w cyklu "Semestr zimowy 2023/24" (zakończony)
Okres: | 2023-10-01 - 2024-02-23 |
Przejdź do planu
PN WT ŚR CZ PT |
Typ zajęć: |
Wykład, 14 godzin
|
|
Koordynatorzy: | (brak danych) | |
Prowadzący grup: | (brak danych) | |
Lista studentów: | (nie masz dostępu) | |
Zaliczenie: |
Przedmiot -
Ocena
Wykład - Ocena |
|
Skrócony opis: |
Reasons behind the introduction of macroprudential regulation. Macroprudential regulation and its active utilisation: institutional framework and operationalisation (authorities, goals, tools). The financial cycle (credit and liquidity) and its interconnections with the business cycle. The role of macroprudential policy in macrostabilisation policy. Case studies of macroprudential policy conduct in South Korea, Poland and the European Union. |
|
Pełny opis: |
Introduction of macroprudential policy as a new type of macroeconomic and regulatory policy. Description and explanation of links between financial and business cycle, as well as tools and methods of regulatory policy that could be employed to stabilise the economic fluctuations. |
|
Literatura: |
Literatura podstawowa: Barwell R., Macroprudential policy. Taming the wild gyrations of credit flows, debt stocks and asset prices, Palgrave Macmillan, New York 2013 Galati G., Moessner R., Macroprudential policy: a literature review, 'Journal of Economic Surveys', tom 27 nr 5, grudzień 2013 s. 846-878 Galati G., Moessner R., What Do We Know About the Effects of Macroprudential Policy?, 'Economica', tom 85 nr 340, październik 2018, s. 735-770 Literatura uzupełniająca: Scherf G. Financial Stability Policy in the Euro Zone. The Political Economy of National Banking Regulation in an Integrating monetary Union, Springer Gabler, Berlin 2012 ESRB, Flagship Report on Macro-prudential Policy in the Banking Sector, ESRB, Frankfurt am Main, 2014 |
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Uwagi: |
Kryteria oceniania: egzamin tradycyjny-pisemny: 40.00% egzamin testowy: 60.00% egzamin ustny: 0.00% kolokwium: 0.00% referaty/eseje: 0.00% ocena z ćwiczeń: 0.00% inne: 0.00% |
Zajęcia w cyklu "Semestr letni 2022/23" (zakończony)
Okres: | 2023-02-18 - 2023-09-30 |
Przejdź do planu
PN WT ŚR CZ PT |
Typ zajęć: |
Wykład, 14 godzin
|
|
Koordynatorzy: | (brak danych) | |
Prowadzący grup: | (brak danych) | |
Lista studentów: | (nie masz dostępu) | |
Zaliczenie: |
Przedmiot -
Ocena
Wykład - Ocena |
|
Skrócony opis: |
Reasons behind the introduction of macroprudential regulation. Macroprudential regulation and its active utilisation: institutional framework and operationalisation (authorities, goals, tools). The financial cycle (credit and liquidity) and its interconnections with the business cycle. The role of macroprudential policy in macrostabilisation policy. Case studies of macroprudential policy conduct in South Korea, Poland and the European Union. |
|
Pełny opis: |
Introduction of macroprudential policy as a new type of macroeconomic and regulatory policy. Description and explanation of links between financial and business cycle, as well as tools and methods of regulatory policy that could be employed to stabilise the economic fluctuations. |
|
Literatura: |
Literatura podstawowa: Barwell R., Macroprudential policy. Taming the wild gyrations of credit flows, debt stocks and asset prices, Palgrave Macmillan, New York 2013 Galati G., Moessner R., Macroprudential policy: a literature review, 'Journal of Economic Surveys', tom 27 nr 5, grudzień 2013 s. 846-878 Galati G., Moessner R., What Do We Know About the Effects of Macroprudential Policy?, 'Economica', tom 85 nr 340, październik 2018, s. 735-770 Literatura uzupełniająca: Scherf G. Financial Stability Policy in the Euro Zone. The Political Economy of National Banking Regulation in an Integrating monetary Union, Springer Gabler, Berlin 2012 ESRB, Flagship Report on Macro-prudential Policy in the Banking Sector, ESRB, Frankfurt am Main, 2014 |
|
Uwagi: |
Kryteria oceniania: egzamin tradycyjny-pisemny: 40.00% egzamin testowy: 60.00% egzamin ustny: 0.00% kolokwium: 0.00% referaty/eseje: 0.00% ocena z ćwiczeń: 0.00% inne: 0.00% |
Zajęcia w cyklu "Semestr zimowy 2022/23" (zakończony)
Okres: | 2022-10-01 - 2023-02-17 |
Przejdź do planu
PN WT ŚR CZ PT |
Typ zajęć: |
Wykład, 14 godzin
|
|
Koordynatorzy: | (brak danych) | |
Prowadzący grup: | (brak danych) | |
Lista studentów: | (nie masz dostępu) | |
Zaliczenie: |
Przedmiot -
Ocena
Wykład - Ocena |
|
Skrócony opis: |
Reasons behind the introduction of macroprudential regulation. Macroprudential regulation and its active utilisation: institutional framework and operationalisation (authorities, goals, tools). The financial cycle (credit and liquidity) and its interconnections with the business cycle. The role of macroprudential policy in macrostabilisation policy. Case studies of macroprudential policy conduct in South Korea, Poland and the European Union. |
|
Pełny opis: |
Introduction of macroprudential policy as a new type of macroeconomic and regulatory policy. Description and explanation of links between financial and business cycle, as well as tools and methods of regulatory policy that could be employed to stabilise the economic fluctuations. |
|
Literatura: |
Literatura podstawowa: Barwell R., Macroprudential policy. Taming the wild gyrations of credit flows, debt stocks and asset prices, Palgrave Macmillan, New York 2013 Galati G., Moessner R., Macroprudential policy: a literature review, 'Journal of Economic Surveys', tom 27 nr 5, grudzień 2013 s. 846-878 Galati G., Moessner R., What Do We Know About the Effects of Macroprudential Policy?, 'Economica', tom 85 nr 340, październik 2018, s. 735-770 Literatura uzupełniająca: Scherf G. Financial Stability Policy in the Euro Zone. The Political Economy of National Banking Regulation in an Integrating monetary Union, Springer Gabler, Berlin 2012 ESRB, Flagship Report on Macro-prudential Policy in the Banking Sector, ESRB, Frankfurt am Main, 2014 |
|
Uwagi: |
Kryteria oceniania: egzamin tradycyjny-pisemny: 40.00% egzamin testowy: 60.00% egzamin ustny: 0.00% kolokwium: 0.00% referaty/eseje: 0.00% ocena z ćwiczeń: 0.00% inne: 0.00% |
Właścicielem praw autorskich jest Szkoła Główna Handlowa w Warszawie.