意大利经济的风险仪表板

F. Columba, F. Venditti, Alberto Maria Sorrentino
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引用次数: 8

摘要

在本文中,我们描述了一个分析框架来评估意大利经济中的金融稳定风险。考虑到意大利经济的特殊性,我们使用了大量指标来监测七个领域的风险:相互联系、信贷市场、宏观经济环境、融资条件、金融市场以及银行和保险部门。基于专家判断或历史分布选择的阈值,我们构建风险热图,并得出上述每种风险类别的总得分。通过提供有关风险积累的及时信息,拟议的仪表板有效地补充了目前用于制定和实施宏观审慎政策的其他分析工具。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
A Risk Dashboard for the Italian Economy
In this paper we describe an analytical framework to assess financial stability risks in the Italian economy. We use a large number of indicators, selected to take into account the peculiarities of the Italian economy, to monitor risks in seven areas: interlinkages, the credit markets, the macroeconomic environment, funding conditions, the financial markets, and the banking and insurance sectors. Based on thresholds selected on the basis of either expert judgment or historical distributions, we construct risk heatmaps and derive aggregate scores for each of the above risk categories. By providing timely information on the buildup of risks, the proposed dashboard usefully complements other analytical tools currently used for developing and implementing macroprudential policy.
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