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Integrating Financial Stability into Monetary Policy

机译:将金融稳定纳入货币政策

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The global financial crisis has highlighted the importance of integrating financial stability concerns into monetary policy. In the Bank of Canada's view, monetary policy should be the last line of defence against threats to financial stability, behind the joint responsibility of borrowers and lenders, appropriate regulatory oversight, and sound macroprudential policies. Still, it is critical to understand the inter-linkages between monetary policy and financial stability, given that the objectives are not always consistent. This implies the necessity of trade-offs. At the Bank of Canada, this is regarded as a problem of risk management rather than policy optimization. That is why the Bank operates a risk-management approach to monetary policy-keeping inflation control as its primary mission.
机译:全球金融危机凸显了将金融稳定性问题纳入货币政策的重要性。加拿大银行认为,货币政策应是抵御金融稳定威胁的最后一道防线,仅次于借款人和贷方的共同责任,适当的监管监督和健全的宏观审慎政策。但是,鉴于目标并不总是一致的,理解货币政策与金融稳定之间的相互联系仍然至关重要。这意味着必须进行权衡。在加拿大银行,这被视为风险管理问题,而不是政策优化问题。因此,世行将风险管理方法作为控制货币政策的通货膨胀的首要任务。

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