Financial Stability: Risks, Resilience, and Policy

Joseph G. Haubrich
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引用次数: 1

Abstract

As the COVID-19 pandemic and its economic fallout continue, policymakers keep a watchful eye on the stability of the financial system. Having learned many lessons from the financial crisis of 2007–2009, they may again turn to that crisis for insights into potential vulnerabilities emerging in the financial sector and ways to make financial markets and institutions more resilient to shocks. At a recent conference on financial stability, 12 papers and two keynotes explored this ground. This Commentary summarizes the papers’ findings and the keynotes.
金融稳定:风险、弹性和政策
随着COVID-19大流行及其经济影响的持续,政策制定者密切关注金融体系的稳定性。在从2007年至2009年的金融危机中吸取了许多教训之后,他们可能会再次从这场危机中深入了解金融部门出现的潜在脆弱性,以及如何提高金融市场和金融机构抵御冲击的能力。在最近一次关于金融稳定的会议上,12篇论文和两篇主题演讲探讨了这一问题。本评论总结了论文的发现和主题。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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