Abstract
Abstract The present study concentrates on the theoretical bases of financial crises. It reflects samples of generation of financial crises, their environment and theories. The present study goes through all variables that must be concentrated on informing the monetary, economic and financial policies and trying the administration of these variables. This study ended with certain results, reached some conclusions and presented some recommendations. The most important thing is that the countries have the choice of financial liberation and integration in world economy either individually or through certain groups or communities, some committees must be formed in order to observe the activities and to read the future and put green, red and yellow colors for precaution through the administration depending on precise criteria, models and standards .