首页    期刊浏览 2024年12月01日 星期日
登录注册

文章基本信息

  • 标题:Complexity, big data and financial stability
  • 本地全文:下载
  • 作者:Baiq Rien Handayani ; Cahyawan Catur Edi Margana ; Kertanegara
  • 期刊名称:Quantitative Finance and Economics
  • 电子版ISSN:2573-0134
  • 出版年度:2018
  • 卷号:2
  • 期号:3
  • 页码:637-660
  • DOI:10.3934/QFE.2018.3.637
  • 语种:English
  • 出版社:AIMS Press
  • 摘要:Financial stability analysis and policy should concentrate on accurate price discovery for complex instruments, realistic financial information generation processes, and system-wide risk materializing within complex financial networks. To this end, complexity analysis can make a useful contribution. The effectiveness of these approaches rests crucially on the quality and standardization of big data that today characterized financial activity throughout the globe. Considerable progress is made over the past year in the development of a key element of such standardization—the global legal entity identifier system. It aims to uniquely identify parties to financial transactions across the globe. While this is a necessary and key first step, it is only one step towards a strong, flexible and adaptable global data infrastructure conducive to financial stability policy.
  • 关键词:financial stability;complexity;big data;global legal entity identifier
国家哲学社会科学文献中心版权所有