基金组织的统计活动:后危机时期全球金融稳定的一个因素

І. Аrtemieva
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引用次数: 0

摘要

概述了国际货币基金组织(货币基金组织)在危机后时期统计活动转变的领域,并评估了它们对全球金融稳定的贡献。叙述了货币基金组织通过传播统计研究的标准方法、资料收集的统一原则、统计指标的计算和分析方法、资料内容和传播方法的协调和统一,在发现和消除资料短缺方面取得的成果。分析了国际货币基金组织(IMF)三级统计标准(特殊数据发布标准、通用数据发布系统和特殊数据发布标准+)的演变,作为全球经济金融数据发布的参考,简化了各国经济专家获取及时、完整的统计信息的途径,从而帮助国际社会实施宏观经济政策。本文对国际货币基金组织在收集和传播统计数据方面的活动进行了评估,这些统计数据是在最近一次全球危机中发现的系统风险最大程度增加的领域:专门研究跨境和跨部门关系、债券和衍生品市场、大型银行和非银行部门。介绍了货币基金组织与跨国界金融关系研究有关的统计活动领域。强调了关于消除信息短缺的倡议,这些倡议是触发全球监管改革所必需的,并由货币基金组织与其他国际组织合作执行。介绍了数字时代国际货币基金组织关于数据和统计的战略,该战略旨在改善国际货币基金组织的统计活动,因为数据的波动性达到临界水平,对高质量数据的需求日益增加,符合新的监管重点。概述了进一步改进国际合作和消除危机中发现的统计数据短缺的领域,方法是采用收集、处理和传播统计数据的创新方法,为非金融部门和金融部门编制及时、可靠和可比较的指标。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Statistical Activities of IMF: A Factor of Global Financial Stabilization in the Post-Crisis Period
The areas of transformation of the statistical activities of the International Monetary Fund (IMF) in the post-crisis period are outlined, and their contribution in the global financial stabilization is assessed. The IMF results in detecting and eliminating information shortages by disseminating the standard methodology for statistical studies, unified principles for information collection, methods for computation and analysis of statistical indicators, harmonization and unification of the information content and dissemination methods are described. The evolution of the three-tier statistical standard of IMF (Special Data Dissemination Standard, General Data Dissemination System and Special Data Dissemination Standard Plus) is analyzed as the global reference for disseminating economic and financial data, which simplifies access of economic experts from all over the world to timely and complete statistical information, thus helping the international community implement macroeconomic policies. The article gives an assessment of IMF activities in collecting and disseminating statistical data about the areas where the system risk detected in time of the latest global crisis increased to the largest extent: studies devoted to cross-border and cross-sector relations, the market of bonds and derivatives, large banks and non-banking sector. The area of IMF statistical activities related with studies of trans-border financial relations is described. The initiatives on eliminating information shortage, required to trigger global regulatory reforms and implemented by IMF in collaboration with other international organizations are highlighted. The IMF strategy on data and statistics in the digital era, intended to improve the IMF statistical activities given the critical level of data volatility and the increasing demand for high quality data in conformity with the new priorities of supervision, is described. The areas of further improvements in the international cooperation and elimination of statistical data shortages detected by the crisis by use of innovative methods for collection, processing and dissemination of statistical data, to produce the sets of timely, reliable and comparable indicators for non-financial and financial sector, are outlined.
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