The insurance market of the Republic of Moldova in terms of investment potential

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Date

2013

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“Victor Slăvescu” Centre for Financial and Monetary Research

Abstract

The financial market of the Republic of Moldova has been characterized by a high degree of uncertainty during the last years. The political instability had its consequences causing disturbances, especially on the bank market. At the same time, the global financial crisis has had a direct impact on the national financial market as well, reducing thus the investment potential in the bank and non-bank financial sector, especially of the foreign investors. Notwithstanding the insurance market of the Republic of Moldova has registered a growth during this period. The paper presents an analysis of the insurance market in terms of its investment potential and tries to explain the behavior of the insurance products’ consumers in the conditions of the actual financial and economic crisis.

Description

Referinţe bibliografice: pp. 42-43 (12 titl.). JEL Classification: D53, E22, G016, G22, G23.

Keywords

financial market, financial crisis, bank sector, Republic of Moldova, piata financiara, investment potential

Citation

TIMUȘ Angela, UNGUR, Cristina. The insurance market of the Republic of Moldova in terms of investment potential. In: Financial Studies. 2013, volume 17, issue 2, pp. 31-43. ISSN 2066-6071.

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