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Governance of Financial Market Infrastructures
10 Dec 2020
Bulletin
– December 2020
Good governance is critical to delivering effective risk management outcomes.
https://www.rba.gov.au/publications/bulletin/2020/dec/governance-of-financial-market-infrastructures.html
The Consequences of Low Interest Rates for the Australian Banking Sector
21 Dec 2022
RDP
2022-08
But if the central bank has other considerations, such as financial stability, then the answer is not as clear. ... Note: Data from the EFS collection from July 2019. Sources: ABS; APRA; ASX; Australian Financial Markets Association; Bank liaison; Banks'
https://www.rba.gov.au/publications/rdp/2022/2022-08/full.html
Financial Conditions and Downside Risk to Economic Activity in Australia
23 Mar 2021
RDP
2021-03
Financial stability risks are difficult to quantify and hard to map to economic outcomes. ... But for central banks with a financial stability mandate, the issue is crucial.
https://www.rba.gov.au/publications/rdp/2021/2021-03/full.html
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China's Evolving Monetary Policy Framework in International Context
1 Dec 2019
RDP
2019-11
Financial stability. Exchange rate stability. na. GDP growth: 6–6.5. Unemployment: 5.5. ... Low and stable inflation Full employment Financial stability. 1993. Target range of 2–3.
https://www.rba.gov.au/publications/rdp/2019/2019-11/full.html
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References
10 Jul 2019
RDP
2019-05
Ajello A, T Laubach, D López-Salido and T Nakata (2016), ‘Financial Stability and Optimal Interest-Rate Policy’, Board of Governors of the Federal Reserve System Finance and Economics Discussion Series ... Yellen JL (2014), ‘Monetary Policy and
https://www.rba.gov.au/publications/rdp/2019/2019-05/references.html
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References
8 Oct 2019
RDP
2019-01
Coates B (2018), ‘Overview of Poll Results’, Poll conducted by The ESA Monash Forum, viewed 22 January 2019. ... RBA (2018), ‘Box B: The Impact of Lending Standards on Loan Sizes’, Financial Stability Review, October, pp 32–36.
https://www.rba.gov.au/publications/rdp/2019/2019-01/references.html
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G20 Financial Regulatory Reforms and Australia
19 Sep 2013
Bulletin
– September 2013
The global financial crisis prompted a comprehensive international regulatory response, directed through the Group of Twenty (G20). The Reserve Bank and other Council of Financial Regulators (CFR) agencies have been heavily involved in the reform
https://www.rba.gov.au/publications/bulletin/2013/sep/9.html
Macroprudential Policy Frameworks and Tools
15 Dec 2016
Bulletin
– December 2016
Over the past decade, policymakers have increasingly used macroprudential tools to address a range of financial stability concerns. International institutions have identified and offered guidance on the components of an effective macroprudential
https://www.rba.gov.au/publications/bulletin/2016/dec/8.html
The Role of Collateral in Borrowing
20 Jan 2021
RDP
2021-01
Section 2.2 summarises the financial environment in Australia during the period under analysis. ... Data relating to entities' balance sheets are from S&P Global Market Intelligence (formerly from SNL Financial) or, if unavailable or problematic, from
https://www.rba.gov.au/publications/rdp/2021/2021-01/full.html
Recent Developments in Asset Management – Central Counterparty Risk Controls and Incentives
18 Jun 2015
Bulletin
– June 2015
The global asset management industry has grown rapidly following the global financial crisis. International standard-setting bodies and national regulators are working to better understand and, if necessary, address potential financial stability
https://www.rba.gov.au/publications/bulletin/2015/jun/8.html