Show simple item record

dc.rights.licenseKūrybinių bendrijų licencija / Creative Commons licenceen_US
dc.contributor.authorFreimanis, Kristaps
dc.contributor.authorŠenfelde, Maija
dc.date.accessioned2024-07-11T13:25:21Z
dc.date.available2024-07-11T13:25:21Z
dc.date.issued2022
dc.date.submitted2022-03-10
dc.identifier.isbn9786094762888en_US
dc.identifier.issn2029-4441en_US
dc.identifier.urihttps://etalpykla.vilniustech.lt/handle/123456789/154639
dc.description.abstractThere is significant discussion in the academia and industry regarding over-regulation and under-regulation of the financial markets. Some discussion has been devoted to the transparency requirements for market players imposed by the regulator and their impact on the financial market. However, in the view of the authors, there is a lack of discussion on the effects of regulator communication on financial market participants. Thus, the aim of this paper is to contribute to this discussion. Authors review methods used in assessing central banks’ communication effects on the f inancial markets and based on them develop the approach for regulator’s (in this case central bank) communication effect assessment on the financial market participants. The model is validated on the euro area central bank and two major economies. The results show that a lot of adverse market participants’ reactions on the signals from the central bank’s speeches have been observed.en_US
dc.format.extent7 p.en_US
dc.format.mediumTekstas / Texten_US
dc.language.isoenen_US
dc.relation.urihttps://etalpykla.vilniustech.lt/handle/123456789/154478en_US
dc.rightsAttribution 4.0 Internationalen_US
dc.rights.urihttp://creativecommons.org/licenses/by/4.0/en_US
dc.source.urihttps://bm.vgtu.lt/index.php/verslas/2022/paper/view/857en_US
dc.subjectgovernment interventionen_US
dc.subjectfinancial marketen_US
dc.subjectmarket failuresen_US
dc.subjectmarket indicesen_US
dc.subjectregulator’s communicationen_US
dc.titleAssessment of the effect of regulator’s communication on the financial market participantsen_US
dc.typeKonferencijos publikacija / Conference paperen_US
dcterms.accessRightsLaisvai prieinamas / Openly availableen_US
dcterms.accrualMethodRankinis pateikimas / Manual submissionen_US
dcterms.alternativeFinance and investments: new challenges and opportunitiesen_US
dcterms.dateAccepted2022-04-06
dcterms.issued2022-05-13
dcterms.licenseCC BYen_US
dcterms.references22en_US
dc.description.versionTaip / Yesen_US
dc.contributor.institutionRiga Technical Universityen_US
dcterms.sourcetitle12th International Scientific Conference “Business and Management 2022”en_US
dc.identifier.eisbn9786094762895en_US
dc.identifier.eissn2029-929Xen_US
dc.publisher.nameVilnius Gediminas Technical Universityen_US
dc.publisher.nameVilniaus Gedimino technikos universitetasen_US
dc.publisher.countryLithuaniaen_US
dc.publisher.countryLietuvaen_US
dc.publisher.cityVilniusen_US
dc.description.fundingorganizationEuropean Social Funden_US
dc.description.fundingorganizationRiga Technical Universityen_US
dc.description.grantnumber8.2.2.0/20/I/008en_US
dc.description.grantnumberDOK.BUNI/21en_US
dc.identifier.doihttps://doi.org/10.3846/bm.2022.857en_US


Files in this item

Thumbnail
Thumbnail

This item appears in the following Collection(s)

Show simple item record

Kūrybinių bendrijų licencija / Creative Commons licence
Except where otherwise noted, this item's license is described as Kūrybinių bendrijų licencija / Creative Commons licence