Financial soundness indicators : analytical aspects and country practices
著者
書誌事項
Financial soundness indicators : analytical aspects and country practices
(Occasional paper / International Monetary Fund, no. 212)
International Monetary Fund, 2002
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注記
Includes bibliographical references (p. 70-72)
内容説明・目次
内容説明
The financial turmoil of the late 1990s prompted a broad search for tools and techniques for detecting and preventing financial crises, and more recent episodes of instability have highlighted the importance of continuous monitoring of financial systems as a tool for preventing crises. This paper looks at the development of measures of financial sector soundness and of methods to analyze them. The authors propose two sets of financial soundness indicators that are considered useful for periodic monitoring, and for compilation and dissemination efforts by national authorities. They highlight the substantial advance made in recent years in measuring and analyzing financial soundness indicators, and specify areas where more work is needed.
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