期刊名称:Annals of the University of Oradea : Economic Science
印刷版ISSN:1222-569X
电子版ISSN:1582-5450
出版年度:2009
卷号:XVIII
期号:03
出版社:University of Oradea
摘要:One of the obvious signs of increased interest in financial stablity is the growing number of
countries that publish financial stability reports (FSRs). These reports offer an image on the way that
Central Banks deal with the financial sector stability, how they foster it, what are the tools used in order to
maintain it, how they measure it and what the impact of some risks is or could be on financial institutions
and finally on population, hence ensuring the Central Bank‟s policy transparency and credibility. In this
paper we analyze the reports published by different central banks with the aim to establish the common
features that should characterize a good report that reaches its proposed objective, as well as highlight
their importance for financial stability of a country.