科技报告详细信息
Financial re-regulation since the global crisis? : An index-based assessment
Oliver Denki ; Gabriel Gomesi iOECD
Organisation for Economic Co-operation and Development
关键词: bank supervision;    financial regulation;    Financial liberalisation;   
DOI  :  https://doi.org/10.1787/0f865772-en
学科分类:社会科学、人文和艺术(综合)
来源: OECD iLibrary
PDF
【 摘 要 】

Domestic and international capital markets had been liberalised for decades until the mid-2000s. Then the global financial crisis struck. How has policy responded since the crisis: with re-regulation or continued liberalisation? This paper assembles a new dataset on financial policy from 2006 to 2015, by extending the International Monetary Fund’s index compiled by Abiad, Detragiache and Tressel (2010), the most widely used measure of financial reforms in cross-country empirical research. The data show that ownership and supervision are the two areas of financial policy which have changed most visibly. Bank recapitalisations have increased government ownership of banks, and reforms have strengthened prudential regulation and bank supervision. Finance continues to be substantially less liberalised in emerging market economies than in advanced countries. The new dataset is available for use by other empirical researchers.

【 预 览 】
附件列表
Files Size Format View
0f865772-en.pdf 1174KB PDF download
  文献评价指标  
  下载次数:14次 浏览次数:9次