摘要
2008年金融危机后,金融稳定监测成了全球金融监管领域的热门话题。各大国际组织和主要经济体监管当局普遍设计了各自的金融稳定监测体系,意图对系统性金融风险进行监测和有效遏制。然而,系统性风险从未走远,全球金融体系脆弱性仍在加剧。本文基于对三大主流金融稳定监测指标体系的分析,结合当前金融风险特征,分析金融稳定监测框架存在的设计缺陷;立足于主要经济体货币政策正常化的历史进程中,研判未来国际金融稳定监测体系的发展趋势;最后,分享了在我国金融稳定监测领域的一些借鉴性思考。
In the years following the 2008 financial crisis, the monitoring of financial stability has been a hot topic for financial regulators. International financial institutions and market regulators in major economies have established financial stability monitoring systems to help guard against systemic risks. However, the global financial system remains fragile and vigilance against systemic risk is essential. This paper uses three major indicators to assess the defects of the financial stability monitoring systems now in place. It also examines international developments in financial risk monitoring amid a normalization of monetary policy in key economies. It also makes suggestions for China's financial stability monitoring efforts.
出处
《金融市场研究》
2018年第10期39-48,共10页
Financial Market Research
关键词
金融稳定
系统性风险
监测体系
新兴市场危机
Financial stability
Systematic risk
Monitoring system
Emerging market crisis