La politique macroprudentielle un choix stratégique pour assurer la stabilité financière

Auteurs-es

  • Marwan KOUKOU Université Ibn Tofail
  • Mounir JERRY Université Ibn Tofail
  • Younes AIT HMADOUCH Université Ibn Tofail

DOI :

https://doi.org/10.48395/IMIST.PRSM/rek-N23.40244

Mots-clés :

politique macroprudentielle, réglementation financière, risque systémique, indicateurs.

Résumé

La stabilité du système financier devient une nécessité dans le monde entier, ce qui implique l’intervention des politiques ayant comme objectif la garantie de la stabilité du système financier. Donc, cet article présente un travail qui traite la nécessité d’adopter une politique efficace pour lutter contre le risque systémique, ainsi que son interconnexion avec les autres politiques. Nous avons bien défini la politique macroprudentielle, ainsi que son objectif traditionnel et final, de plus, la pertinence d’utiliser en permanence ses indicateurs.

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19-05-2023

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