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Utilisation De La Statistique Financiere Comme Indicateur De La Conjoncture Economique


Utilisation De La Statistique Financiere Comme Indicateur De La Conjoncture Economique
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Utilisation De La Statistique Financiere Comme Indicateur De La Conjoncture Economique


Utilisation De La Statistique Financiere Comme Indicateur De La Conjoncture Economique
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Author : Canada. Dominion Bureau of Statistics
language : fr
Publisher:
Release Date : 1971

Utilisation De La Statistique Financiere Comme Indicateur De La Conjoncture Economique written by Canada. Dominion Bureau of Statistics and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 1971 with categories.




Financial Soundness Indicators


Financial Soundness Indicators
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Author : International Monetary Fund
language : en
Publisher: International Monetary Fund
Release Date : 2006-04-04

Financial Soundness Indicators written by International Monetary Fund and has been published by International Monetary Fund this book supported file pdf, txt, epub, kindle and other format this book has been release on 2006-04-04 with Business & Economics categories.


Financial Soundness Indicators (FSIs) are measures that indicate the current financial health and soundness of a country's financial institutions, and their corporate and household counterparts. FSIs include both aggregated individual institution data and indicators that are representative of the markets in which the financial institutions operate. FSIs are calculated and disseminated for the purpose of supporting macroprudential analysis--the assessment and surveillance of the strengths and vulnerabilities of financial systems--with a view to strengthening financial stability and limiting the likelihood of financial crises. Financial Soundness Indicators: Compilation Guide is intended to give guidance on the concepts, sources, and compilation and dissemination techniques underlying FSIs; to encourage the use and cross-country comparison of these data; and, thereby, to support national and international surveillance of financial systems.



Government Finance Statistics Manual 2014


Government Finance Statistics Manual 2014
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Author : Mrs.Sage De Clerck
language : en
Publisher: International Monetary Fund
Release Date : 2015-03-10

Government Finance Statistics Manual 2014 written by Mrs.Sage De Clerck and has been published by International Monetary Fund this book supported file pdf, txt, epub, kindle and other format this book has been release on 2015-03-10 with Business & Economics categories.


The 2007–09 international financial crisis underscored the importance of reliable and timely statistics on the general government and public sectors. Government finance statistics are a basis for fiscal analysis and they play a vital role in developing and monitoring sound fiscal programs and in conducting surveillance of economic policies. The Government Finance Statistics Manual 2014 represents a major step forward in clarifying the standards for compiling and presenting fiscal statistics and strengthens the worldwide effort to improve public sector reporting and transparency.



The General Data Dissemination System


The General Data Dissemination System
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Author : International Monetary Fund
language : en
Publisher: International Monetary Fund
Release Date : 2007-07-25

The General Data Dissemination System written by International Monetary Fund and has been published by International Monetary Fund this book supported file pdf, txt, epub, kindle and other format this book has been release on 2007-07-25 with Computers categories.


The IMF's work on data dissemination standards consists of two tiers: the General Data Dissemination System (GDDS), which applies to all IMF member countries, and the Special Data Dissemination Standard (SDDS), for those members having or seeking access to international capital markets. The GDDS framework provide governments with guidance on the overall development of the macroeconomic, financial, and sociodemographic data that are essential for policymaking and analysis in an environment that increasingly requires relevant, comprehensive, and accurate statistical data. This Guide explains the nature, objectives, and operation of the GDDS; the data dimensions it covers; and how countries participate. It provides national statistical authorities with a management tool and a framework to foster sound statistical methodology, professional data compilation, and data dissemination. The Guide supersedes the version updated in March 2002 and incorporates the UN Millennium Development Goals (MDGs) as specific elements of the GDDS sociodemographic component, which was articulated with the collaboration of the World Bank.



Indicateurs Conomiques Court Terme Conomies En Transition


Indicateurs Conomiques Court Terme Conomies En Transition
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Author :
language : fr
Publisher:
Release Date : 1997

Indicateurs Conomiques Court Terme Conomies En Transition written by and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 1997 with Economic indicators categories.




Fiscal Adjustment For Stability And Growth


Fiscal Adjustment For Stability And Growth
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Author : Mr.James Daniel
language : en
Publisher: International Monetary Fund
Release Date : 2006-08-17

Fiscal Adjustment For Stability And Growth written by Mr.James Daniel and has been published by International Monetary Fund this book supported file pdf, txt, epub, kindle and other format this book has been release on 2006-08-17 with Business & Economics categories.


The pamphlet (which updates the 1995 Guidelines for Fiscal Adjustment) presents the IMF’s approach to fiscal adjustment, and focuses on the role that sound government finances play in promoting macroeconomic stability and growth. Structured around five practical questions—when to adjust, how to assess the fiscal position, what makes for successful adjustment, how to carry out adjustment, and which institutions can help—it covers topics such as tax policies, debt sustainability, fiscal responsibility laws, and transparency.



Public Sector Debt Statistics


Public Sector Debt Statistics
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Author : International Monetary Fund
language : en
Publisher: International Monetary Fund
Release Date : 2011-12-08

Public Sector Debt Statistics written by International Monetary Fund and has been published by International Monetary Fund this book supported file pdf, txt, epub, kindle and other format this book has been release on 2011-12-08 with Business & Economics categories.


The global financial crisis of recent years and the associated large fiscal deficits and debt levels that have impacted many countries underscores the importance of reliable and timely government statistics and, more broadly, public sector debt as a critical element in countries fiscal and external sustainability. Public Sector Debt Statistics is the first international guide of its kind, and its primary objectives are to improve the quality and timeliness of key debt statistics and promote a convergence of recording practices to foster international comparability and as a reference for national compilers and users for compiling and disseminating these data. Like other statistical guides published by the IMF, this one was prepared in consultation with countries and international agencies, including the nine organizations of the Inter-Agency Task Force on Finance Statistics (TFFS). The guide's preparation was based on the broad range of experience of our institutions and benefitted from consultation with national compilers of government finance and public sector debt statistics. The guide's concepts are harmonized with those of the System of National Accounts (2008) and the Balance of Payments and International Investment Position Manual, Sixth Edition.



Principaux Indicateurs Conomiques Sources Et D Finitions 2000


Principaux Indicateurs Conomiques Sources Et D Finitions 2000
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Author : OECD
language : fr
Publisher: OECD Publishing
Release Date : 2000-10-06

Principaux Indicateurs Conomiques Sources Et D Finitions 2000 written by OECD and has been published by OECD Publishing this book supported file pdf, txt, epub, kindle and other format this book has been release on 2000-10-06 with categories.


Cet ouvrage fournit des explications sur les sources et définitions utilisées par les pays membres et certains pays non membres pour calculer les indicateurs économiques à court terme actuellement présentés dans les Principaux indicateurs ...



Canadian Statistics Index


Canadian Statistics Index
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Author :
language : en
Publisher:
Release Date : 1989

Canadian Statistics Index written by and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 1989 with Canada categories.




Stabilit Financi Re


Stabilit Financi Re
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Author : Olivier de Bandt
language : fr
Publisher: De Boeck Superieur
Release Date : 2013-11-04

Stabilit Financi Re written by Olivier de Bandt and has been published by De Boeck Superieur this book supported file pdf, txt, epub, kindle and other format this book has been release on 2013-11-04 with Business & Economics categories.


La sévérité de la crise financière débutée à l'été 2007 continue de surprendre non seulement le grand public, mais aussi les praticiens de marché, de nombreux économistes et les journalistes. Face à ce défi, comme Jean Tirole l'écrit dans sa préface, "Stabilité financière prend le parti de la réflexion de long terme. Il revient aux fondamentaux : que nous disent la théorie et les observations empiriques sur les causes et les conséquences de l'instabilité financière ? Quels enseignements pouvons-nous tirer de l'économie moderne pour ne pas répéter les erreurs du passé dans un monde financier de plus en plus complexe ?" Cet ouvrage s'ouvre par une présentation des notions indispensables à l'analyse de la stabilité financière comme la liquidité, le levier, les bulles ou le risque systémique. Puis, il rend compte des causes et des mécanismes de propagation de la première crise financière du 21e siècle. Il analyse les instruments de politique publique en opérant une distinction entre les actions sur les incitations, comme le recours à la discipline de marché ou à la taxation, et les contraintes sur les activités, telles que la limitation des activités des institutions ou des marchés financiers. Les normes de liquidité et de solvabilité font l'objet de développements spécifiques, en raison de leur importance et de leur nature mixte (action sur les incitations et contraintes à respecter). Les politiques macro-prudentielles et l'interaction des politiques économiques avec la stabilité financière sont ensuite présentées. Enfin, l'architecture et la gouvernance des institutions chargées de mettre en oeuvre les politiques de stabilité financière sont décrites et évaluées. Jean Tirole relève que "Stabilité financière rend accessible une énorme littérature". L'ouvrage, "qui n'hésite pas à passer en revue des sujets techniques autrefois quasi absents du monde universitaire et pourtant indispensables à une bonne compréhension", s'adresse d'abord aux étudiants en Licence 3, en Master 1 et 2 en économie monétaire et bancaire et en finance, ainsi qu'à leurs enseignants et aux chercheurs dans ce domaine. Du fait de sa clarté d'exposition, il s'adresse aussi à un public plus large : journalistes, économistes de marché, professionnels de la finance conduits, dans l'exercice de leur métier, à s'intéresser aux défis de la stabilité financière.