ADAPTING MACROPRUDENTIAL POLICIES TO GLOBAL LIQUIDITY CONDITIONS

被引:0
|
作者
Shin, Hyun Song [1 ]
机构
[1] Princeton Univ, Princeton, NJ 08544 USA
来源
ECONOMIA CHILENA | 2012年 / 15卷 / 02期
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中图分类号
F [经济];
学科分类号
02 ;
摘要
ADAPTING MACROPRUDENTIAL POLICIES TO GLOBAL LIQUIDITY CONDITIONS Hyun Song Shin This paper outlines an approach to macroprudential policy for open emerging economies that emphasizes banking sector balance sheet management as the key driver of risk premiums, capital flows and vulnerabilities to sudden reversals in global liquidity conditions. It argues for the usefulness of monitoring the "non-core liabilities" of the banking sector as a signal of lending standards and potential vulnerability of the financial system to shocks. The paper presents a taxonomy of macroprudential tools, ranging from orthodox tools of bank capital regulation to more novel "liabilities-side" tools, such as the levy on non-core liabilities recently introduced by the Korean Republic.
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页码:33 / +
页数:34
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