当代财经 ›› 2015, Vol. 0 ›› Issue (01): 621-.

• • 上一篇    

我国金融稳定测度与因素分析(1994-2013)——基于“表现”和“能力”综合评价的视角

周海欧,肖茜   

  1. (江西财经大学 经济学院,江西 南昌 330013)
  • 收稿日期:2014-07-20 发布日期:2021-01-21
  • 作者简介:周海欧,江西财经大学副教授,硕士生导师,经济学博士,主要从事宏观经济学研究,联系方式zhouhaiou@jxufe.edu.cn;肖 茜,江西财经大学硕士研究生,主要从事宏观经济学研究。

Measurement and Factor Analysis of China’s Financial Stability (1994-2013): From the Perspective of Comprehensive Assessment of“Performance”and“Ability”

ZHOU Hai-ou, XIAO Xi   

  1. (Jiangxi University of Finance and Economics, Nanchang 330013, China)
  • Received:2014-07-20 Published:2021-01-21

摘要: 维持金融稳定是我国宏观经济管理的关键问题之一。从金融稳定的内涵出发,明确金融稳定评估必须兼顾“表现”和“能力”的原则,并结合我国国情和数据的可得性,构建了包含16个基础指标的金融稳定指数。在此基础上,采用主成分分析法对我国1994-2013年间金融稳定的状况进行量化测算及预测。结果表明,过去20年间我国金融稳定状况显著改善;金融稳定在一定程度上更多地取决于银行体系的稳定与否;金融监管体制改革、国有商业银行股份制改革及上市、证券市场股权分置改革等对我国金融稳定状况的改善起到了积极作用。对测算结果进行有效性分析和敏感性检验表明,所构建的指数较好地刻画了我国金融稳定的变化趋势,能够比较灵敏地显示出内外部因素对我国金融稳定的冲击,也为人们了解我国金融稳定的决定因素提供了重要的信息,具有较强的政策应用价值。

关键词: 金融稳定,指标体系,指数,量化测度,敏感性检验

Abstract: Maintaining financial stability has become one of the key issues in China’s macroeconomic management. According to the connotation of financial stability, this paper believes that the assessment of financial stability must take into account the principles of“performance”and“ability”. It establishes a financial stability index which contains 16 basic indicators in terms of China’s reality and the availability of data. On this basis, it employs the principal component analysis method to carry out a quantified measurement and prediction of the conditions of financial stability from 1994 to 2013. The results indicate that in the past 20 years, China’s financial stability has been significantly improved. Financial stability depends on the stability of the banking system to some extent. The reform in the financial supervision system, the joint-stock system reform of state-owned commercial banks and their going public, and the reform of non-tradable shares in shock market all played an active role in improving China’s financial stability. A further validity analysis and sensitivity test on the measurement result indicate that the index established in this paper can acutely characterize the changing trend of China’s financial stability and that it can be sensitive to show the impacts of the internal and external factors on China’s financial stability. This index can also provide some important information for people to understand the determinants of China’s financial stability, so it has a strong value in policy application.

Key words: inancial stability; indicator system; index; quantified measurement; sensitivity test