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Financial Policy in Practice: Benchmarking Financial Sector Strategies Around the World

机译:实践中的金融政策:全球金融行业战略的基准

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摘要

Policy makers use financial sector strategies to formulate a holistic policy for the national financial system. This article examines and rates financial sector strategies around the world on how well they formulate development targets, arrangements for systemic risk management, and implementing plans. The strategies are also rated on whether they consider policy trade-offs between financial development and systemic risk management. The rated strategies are then benchmarked against a range of country characteristics. The analysis finds that the scope and quality of national strategies for the financial sector are systematically influenced by several country characteristics. Interestingly, policy trade-offs, particularly between financial development and systemic risk management, are not adequately considered in the strategies.
机译:决策者使用金融部门战略为国家金融体系制定整体政策。本文对世界范围内的金融部门战略制定发展目标,系统性风险管理安排和实施计划的效果进行了评估,并对它们进行了评级。这些策略还根据它们是否考虑了金融发展与系统风险管理之间的政策权衡来进行评级。然后,根据一系列国家/地区的特征对评级策略进行基准测试。分析发现,国家金融部门战略的范围和质量受到多个国家特征的系统影响。有趣的是,战略中并未充分考虑政策的权衡,特别是在金融发展与系统风险管理之间的权衡。

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