کد مقاله | کد نشریه | سال انتشار | مقاله انگلیسی | نسخه تمام متن |
---|---|---|---|---|
5091272 | 1478338 | 2006 | 8 صفحه PDF | دانلود رایگان |
عنوان انگلیسی مقاله ISI
A framework for assessing financial stability?
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کلمات کلیدی
موضوعات مرتبط
علوم انسانی و اجتماعی
اقتصاد، اقتصادسنجی و امور مالی
اقتصاد و اقتصادسنجی
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چکیده انگلیسی
I worked as a consultant in the Financial Stability Department (FSD) of the Bank of England for several years (2002-2004). In this paper I reflect on issues relating to the work of such an FSD, starting with the difficulty of defining or measuring 'financial stability'. Stress tests are commonly used, but, for an FSD, should relate to the system as a whole, not just to individual institutions. FSDs need to assess the probability, virulence and speed of occurrence of potential shocks. There is a need to develop appropriate analytical models. The focus on capital adequacy has diverted attention from concern about having sufficient liquidity.
ناشر
Database: Elsevier - ScienceDirect (ساینس دایرکت)
Journal: Journal of Banking & Finance - Volume 30, Issue 12, December 2006, Pages 3415-3422
Journal: Journal of Banking & Finance - Volume 30, Issue 12, December 2006, Pages 3415-3422
نویسندگان
C.A.E. Goodhart,