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2016 | OriginalPaper | Chapter

Research of China’s Financial Safety Indicator

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Abstract

We discuss China’s finance security indicator. The term “finance security indicator methodology” refers to the factors in economy that affect finance security as well as their assessment and quantification method. The focus of the methodology is analyzing and investigating past domestic and foreign economic strength and operation, international balance of payment and external influence, relevant government administrative capability, fiscal policies, monetary policies, financial operation and developmental level, financial soundness and control power, etc. In the assessment system of China’s finance security indicator, we highlight international experience. When analyzing the safety degree of each factor, we widely adopt internationally recognized threshold standards. The data used by this indicator system are mainly from China’s official organization, but also included are those from the World Bank, IMF, and other reliable sources.

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Literature
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Metadata
Title
Research of China’s Financial Safety Indicator
Author
Xuemin Chen
Copyright Year
2016
Publisher
Springer Singapore
DOI
https://doi.org/10.1007/978-981-287-655-3_15