Defining Financial Stability
ArXiv ID: ssrn-879012 “View on arXiv”
Authors: Unknown
Abstract
The main objective of this paper is to propose a definition of financial stability that has some practical and operational relevance. Financial stability is def
Keywords: Financial stability, Systemic risk, Macroprudential policy, Financial regulation, Risk management, Macro
Complexity vs Empirical Score
- Math Complexity: 2.0/10
- Empirical Rigor: 1.0/10
- Quadrant: Philosophers
- Why: The paper is a conceptual and theoretical work proposing a definition of financial stability, with no mathematical models, derivations, or empirical data analysis presented in the excerpt.
flowchart TD
A["Research Goal<br>Define Financial Stability<br>with Practical Relevance"] --> B["Methodology<br>Conceptual Analysis &<br>Systemic Risk Framework"]
B --> C["Inputs<br>Macroprudential Policy<br>& Financial Regulation Data"]
C --> D["Computational Process<br>Agent-Based Modeling &<br>Risk Transmission Analysis"]
D --> E["Key Outcomes<br>Operational Definition<br>Macroprudential Tools<br>Risk Management Metrics"]