CHOICE OF INFORMATION SUPPORT OF THE FINANCIAL STABILIZATION MECHANISM
Анотація
The article examines the indicators of diagnosis and monitoring of financial stability, their relationship with the main indicators of economic development. It is determined that the choice of indicators for the diagnosis of financial stability is largely based on the model of managing the economy in general, and the management of the banking system in particular. Methodical approaches to the choice of indicators of financial stability are analyzed which are used in economic science. A list of macro-prudential targets is proposed which can be the best characteristics of the financial stability of the macroeconomic system from a synergetic point of view. In our opinion, these indicators should be used by macro-prudential supervisors in mechanisms to ensure the financial stability of the entire macroeconomic system.
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