Systemic Risk Monitoring and Financial Stability
简要概述了系统性风险监测的关键要素,通过区分冲击与脆弱性,帮助识别金融稳定风险,并强调改进数据、模型及跨部门沟通的必要性。
This discussion briefly outlines key elements of a systemic risk monitor to help identify risks to financial stability. The monitor distinguishes shocks, which are varied and difficult to predict, from vulnerabilities, which can amplify shocks and lead to instability. Better data and models of amplification channels, and better communication among different authorities, are needed to be effective.