INTERNATIONAL EXPERIENCE OF BANK SUPERVISION BY USA FEDERAL RESERVE SYSTEM AND THE ACTIVITIES OF THE CENTRAL BANK OF THE RUSSIAN FEDERATION
Abstract
About the Authors
N. MorozkoRussian Federation
F. Shogenova
Russian Federation
References
1. Haubrich, Joseph G. (1996). "Combining Bank Supervision and Monetary Policy," Federal Reserve Bank of Cleveland, Economic Commentary, vol. 11, pp. 1-9.
2. Haubrich, Joseph G. and James B. Thomson (2005). "Umbrella Supervision and the Role of the Central Bank" Federal Reserve Bank of Cleveland, Policy Discussion Paper no. 11, December.
3. McDonough, William J. (1998). Statement before the Committee on Banking and Financial Services, U.S. House of Representatives, October 1.
4. Mishkin, Frederic (2000). "What Should Central Banks Do? (101 KB PDF)" Federal Reserve Bank of St. Louis Review, vol. 82 (November/December), pp. 1-14.
5. Peek, Joe, Eric S. Rosengren, and Geoffrey M. B. Tootell (1999). "Using Bank Supervisory Data to Improve Macroeconomic Forecasts," Federal Reserve Bank of Boston, New England Economic Review, September/October, pp. 21-32.
6. Securities and Exchange Commission, Division of Market Regulation (1988). The October 1987 Market Break: A Report, Washington: The Commission, February.
7. Wall, Larry and Robert A. Eisenbeis (1999). "Financial Regulatory Structure and the Resolution of Conflicting Goals," Journal of Financial Services Research, vol.16 (December), pp. 223-45.
Review
For citations:
Morozko N., Shogenova F. INTERNATIONAL EXPERIENCE OF BANK SUPERVISION BY USA FEDERAL RESERVE SYSTEM AND THE ACTIVITIES OF THE CENTRAL BANK OF THE RUSSIAN FEDERATION. Vestnik Universiteta. 2016;(7-8):167-171. (In Russ.)