IT Assets Management
All the concerns regarding the potential financial stability risks that are posed by the asset management industry have increased to the great level recently. In particular the bond funds have been grown very importantly. The funds have invested in less liquid assets. The impacts of the assets purchase are elaborated using the monthly data in the situation when the zero lower bound data was binding. Assets purchase had vital impact on the GDP and also on the inflation in the countries. The effect of announcements of large scale purchases of government bonds on CPI and real GDP in the United Kingdom and United Strategic had shown fro Bayesian VAR. The financial sector is facing drastic changes. However many changes are positive and are made intentionally for the good. In order to understand the individual factor in a better way it is important to take a look at the monetary policy and its effects. The European Central bank policy is considered as the reason the problems that are currently going on in the financial and banking sector. By putting focus on the causes of our actions on can easily understand the way to get back to the normalisation of the monetary policy.