Institutional adaptation to abrupt changes during and following the financial crisis

dc.contributor.authorMykolenko O. P.
dc.contributor.authorStrokovych H. V.
dc.description.abstractThe aim of the study is to investigate substantial bases and mechanisms for institutional changes that facilitate the adjustment of an economic system to abrupt changes. To achieve this objective, comparative analysis is carried out in order to disclose different approaches to crisis management and resolution regimes following the financial imbalances in Denmark, Sweden, and the USA that represent three different models of institutional adaptation.
dc.identifier.citationMykolenko O. Institutional adaptation to abrupt changes during and following the financial crisis / O. Mykolenko, H. Strokovych // Investment Management and Financial Innovations. – 2018. – Vol. 15. − P. 154-165.
dc.identifier.urihttp://hdl.handle.net/123456789/19049
dc.language.isoen
dc.subjectinstitutions
dc.subjectinstitutional adaptation
dc.subjectfinancial crisis
dc.subjectDenmark
dc.subjectSweden
dc.subjectUSA
dc.titleInstitutional adaptation to abrupt changes during and following the financial crisis
dc.typeArticle

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