“金融稳定”的定义

S. Stefaniak
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引用次数: 0

摘要

2008年全球金融危机爆发后,“金融稳定”一词在金融监管界变得尤为重要。本文运用了政治经济学、话语分析和比较法分析等方法论工具,追踪了在金融法、政策文件和相关欧洲立法的学术叙述中这种崛起的轨迹,并发现该术语的含义是可以变化和延展性的。有人认为,只有将有关金融市场运作和央行角色的更广泛概念纳入背景中,才能解读金融稳定的实质。然后可以确定,在全球金融危机之后,这些想法被重新定义,符合新的宏观审慎范式,以及它们如何为欧盟随后的政策和立法提供信息。
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DEFINING “FINANCIAL STABILITY”
After the Global Financial Crisis (GFC) of 2008 the term “financial stability” rose to prominence in financial regulatory circles. The paper employs methodological tools from political economy, discourse analysis and comparative legal analysis to track the trajectory of this rise in the narratives of scholarship on financial law, policy documents and relevant European legislation and finds that the meaning of the term is subject to change and malleable. It is argued that the substance of financial stability can only be deciphered once the broader ideas about the functioning of financial markets and roles of central banks are taken into context. It is then established that these ideas were redefined in the aftermath of the GFC in line with the new macroprudential paradigm, and how they came to inform subsequent policies and legislation in the European Union.
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