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master's thesis
9
28
Nova regulacija knjiženja i namire financijskih derivata
Antonija Tečić (2017)
University of Split
Faculty of economics Split
Cite this item:
https://urn.nsk.hr/urn:nbn:hr:124:993001
Metadata
Title
Nova regulacija knjiženja i namire financijskih derivata : završni rad
Author
Antonija Tečić
Mentor(s)
Roberto Ercegovac
(thesis advisor)
Abstract
Posljednjih nekoliko godina financijski sustav se značajno proširio a nadzorni okvir se smanjio što je dovelo do povećanja rizika te u konačnici velike financijske krize koja je prouzročila velike troškove. Kao odgovor na krizu donesena je odluka o provođenju reforme financijskog sektora. Reformom se uspostavlja regulatorni i nadzorni okvir, poboljšava rad financijskih tržišta, ovlašćuje se nadzorna tijela da nadziru tržišta te tako spriječe potencijalne rizike i osiguraju stabilnost financijskog tržišta. Uvode se pravila za poravnanje ugovora o OTC izvedenicama, obveze izvještavanja te zahtjeve za sudjelovanje na tržištu. Cilj reforme je ukloniti nedostatke koji prijete financijskom tržištu, smanjiti rizik poslovanja i vratiti povjerenje u financijski sustav.
Keywords
financial crisis
reform
regulatory and supervisory framework
Granter
University of Split
Faculty of economics Split
Place
Split
State
Croatia
Scientific field, discipline, subdiscipline
SOCIAL SCIENCES
Economics
Finance
Study programme type
professional
Study level
specialist graduate
Study programme
Management; specializations in: Project management, Financial and Tax management, Accounting and Revision
Study specialization
Project management
Academic title abbreviation
struč. spec. oec.
Genre
master's thesis
Language
Croatian
Defense date
2017-08
Parallel abstract (English)
Over the last few years, the financial system has significantly expanded and the surveillance framework has decreased, leading to increased risk and on the end a major financial crisis that has caused high costs. As response to the crisis, a decision was made to implement the financial sector reform. The reform establishes a regulatory and supervisory framework, improves the functioning of financial markets, empowers supervisors to monitor markets, there by preventing potential risks and ensuring the stability of the financial market. The rules will be inaugurated for settling OTC derivative contracts, reporting obligations and market participation requirements are introduced. The goal of the reform is to remove the shortcomings that threaten the financial market, reduce business risk and restore confidence in the financial system.
Parallel keywords (Croatian)
financijska kriza
reforma
regulatorni i nadzorni okvir
Resource type
text
Access condition
Open access
Terms of use
URN:NBN
https://urn.nsk.hr/urn:nbn:hr:124:993001
Committer
Ivana Gizdić