Risco sistêmico e regulação bancária no Brasil

Made available in DSpace on 2008-05-13T13:17:08Z (GMT). No. of bitstreams: 1 1446.pdf: 377368 bytes, checksum: 60a75b63b132af363e92fde992acf9d1 (MD5) Previous issue date: 2002-12-13 === This research analyses the measures adopted in Brazil to reduce the risk of systemic financial crises. A compa...

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Bibliographic Details
Main Author: Datz, Marcelo Davi Xavier da Silveira
Other Authors: Escolas::EPGE
Language:Portuguese
Published: 2008
Subjects:
Online Access:http://hdl.handle.net/10438/250
Description
Summary:Made available in DSpace on 2008-05-13T13:17:08Z (GMT). No. of bitstreams: 1 1446.pdf: 377368 bytes, checksum: 60a75b63b132af363e92fde992acf9d1 (MD5) Previous issue date: 2002-12-13 === This research analyses the measures adopted in Brazil to reduce the risk of systemic financial crises. A comparison between these measures and the suggestions of the Multilateral Organisms is made, looking for evaluating the degree of adherence to the international standards of reference. Some models presented intend to explain the occurrence of systemic crises in the financial system and examine the reasons that turn it into a more vulnerable sector for the occurrence of these events. === Esta dissertação analisa as medidas adotadas no Brasil para reduzir o risco de ocorrência de crises financeiras sistêmicas. É feita uma comparação entre estas medidas e às sugeridas pelos Organismos Multilaterais, procurando avaliar o grau de aderência aos padrões internacionais de referência. São apresentados alguns modelos que procuram explicar a ocorrência de crises sistêmicas, examinando as razões que tornam este setor mais vulnerável a ocorrência destes eventos.