中国货币政策与金融监管的协调度:2002-2012年的经验

田光宁;姜世超

中央财经大学学报 ›› 2014, Vol. 1 ›› Issue (12) : 38.

PDF(347 KB)
PDF(347 KB)
中央财经大学学报 ›› 2014, Vol. 1 ›› Issue (12) : 38.
金融证券

中国货币政策与金融监管的协调度:2002-2012年的经验

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Coordination of the Chinese monetary policy and financial regulation:Experience from 2002 to 2012

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摘要

货币政策与金融监管共同维护金融稳定,分部门实施两类政策措施会出现不协调情况,在一定程度上影响了金融机构的平稳运行。笔者通过编制货币政策与金融监管指数来量化两类指标,进而构建协调度模型,运用2002—2012年的数据检验二者的协调度。实证结果显示,两部门政策存在不协调时期占比在20%以上。建议中央银行与监管部门之间加强沟通交流,协调目标取向,提升政策的总体性协调度,提升政策效果,促进金融稳定。

Abstract

Monetary policy and financial supervision safeguarding financial stability, to implement the two types of policy measures by different sectors may appear inconsistent cases, which impact on financial institutions’ robustness. Whether China's monetary policy and financial supervision coordination? In this paper, we designed the monetary policy and financial supervision indexes, and then built the coordination of the model, to test the coordination degree of both by using 2002-2012 data. The empirical results show, two uncoordinated sectorial policies exist in the observed period accounted for more than 20%. We propose to strengthen communication between the central banks and financial regulators, to coordinate goal orientation, to enhance the overall coordination of the policies and to promote the effects of policies and financial stability.

关键词

货币政策  / 金融监管 /  协调度 /  沟通协调

Key words

Monetary policy  / Financial supervision  / Coordination  / Communication and coordination

引用本文

导出引用
田光宁;姜世超. 中国货币政策与金融监管的协调度:2002-2012年的经验[J]. 中央财经大学学报, 2014, 1(12): 38
TIAN-Guang ning ;JIANG-Shi chao. Coordination of the Chinese monetary policy and financial regulation:Experience from 2002 to 2012[J]. Journal of Central University of Finance & Economics, 2014, 1(12): 38

基金

国家自然科学基金面上项目“货币政策约束下的中国影子信贷市场融资搜寻模型研究” (项目号:71173246)。

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