Better macroprudential oversight might have noticed how the sale of those assets was propping up the financial system on brittle pillars, and the selling of these products could have been curbed before disaster struck.
Not exact matches
«The risks stemming from these vulnerabilities have been
well managed by complementary
macroprudential policies,» he said.
«The
best thing we can do is to support the transition of the Canadian economy and leave it to the authorities who have the
macroprudential tools related to the housing market.»
The
best way to safeguard financial stability and improve the balance between economic and financial risk taking is to put in place policies that enhance the transmission of monetary policy to the real economy — thus promoting economic risk taking — and address financial excesses through
well - designed
macroprudential measures.
So we need a
better grasp of how monetary policy and
macroprudential measures interact.
The Financial Repression Authority (FRA) educates investors, funds and retirees on the adverse risks resulting from
good - intentioned
macroprudential central bank and government policies and regulations focused on controlling excessive government debt, attempting to stimulate economic growth, and minimizing the potential for financial and economic crises.
«Our view is that these so - called
macroprudential policies are
best placed to deal with threats to financial stability because they can be designed to target specific financial vulnerabilities,» Poloz said, according to a text of his speech released in Ottawa.
«
Macroprudential and housing policy measures, as
well as higher longer - term borrowing costs resulting from the projected gradual rise in global long - term yields, are all expected to weigh on housing expenditures.»