Analýza hlavních příčin a následků světové finanční krize

Abstract

The main aim of this paper is to clarify the real causes of the current global financial crisis and to analyze its consequences. The focus is mainly on the functioning of certain basic economic mechanisms (especially the mechanism of money creation associated with the creation of debt) and corrective measures used to avert a crisis. The bachelor thesis is divided into several parts. In the first theoretical part deals with the major crises of the 20th century. In the following analysis part I find the real causes of the global financial crisis and analyzes its influence on economic development of selected regions. I describe corrective measures applied to stop the crisis and its impact on the economy. In conclusion, I summarize all the facts learned and add my personal view. To achieve the defined goals I use a combination of several methods. In the theoretical part mainly I use historical method. In the analytical part I use description and comparation most and then analysis and synthesis.

Description

Import 04/07/2011

Subject(s)

Financial crisis, gold standard, the mechanism of money creation, inflation, debt, internet bubble, subprime crisis, unemployment, GDP, public debt, corrective measures, bailouts, interest rates, financial regulation and supervision

Citation