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Financial Instability and Macroeconomics: Bridging the Gulf

Claudio Borio and Mathias Drehmann ()

Chapter 17 in The International Financial Crisis:Have the Rules of Finance Changed?, 2011, pp 237-268 from World Scientific Publishing Co. Pte. Ltd.

Abstract: AbstractThe following sections are included:IntroductionFinancial (In)Stability: DefinitionFinancial (In)Stability: Measurement and ModelingRole of measurementA taxonomyFrom balance sheet to market price indicatorsEarly warning indicatorsSingle-module measures: VARsMultiple-module measures: macro stress testsOverall assessment: from a financial stability to a macroeconomics perspectiveFinancial (In)Stability: PolicyTowards a macroprudential framework of regulation and supervisionTowards a more preemptive monetary policyTowards a common research agendaConclusionReferences

Keywords: Financial Crisis; Financial Regulation; International Banking; Financial Regulatory Reform (search for similar items in EconPapers)
Date: 2011
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