A National Wealth Approach to Banking Crises and Financial Stability

Olivier M Frecaut
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引用次数: 4

Abstract

The paper explores a different, supplementary way to assess and manage a particular type of banking crises, those arising from a rise of nonperforming loans to the corporate sector. It relies on a 'national wealth approach,' focusing on the distribution of net wealth among economic sectors and its interaction with developments in the banking system. It identifies avenues for policy response optimization, based on an integrated macrofinancial analytical framework, both for the prevention and the resolution of these types of economic events.
银行危机和金融稳定的国民财富方法
本文探索了一种不同的、补充的方式来评估和管理一种特殊类型的银行危机,即由企业部门不良贷款增加引起的危机。它依赖于一种“国民财富方法”,关注净财富在各经济部门之间的分配及其与银行体系发展的相互作用。它确定了根据综合宏观金融分析框架优化政策反应的途径,以预防和解决这类经济事件。
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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