Financial-monetary analysis model

Journal Title: Revista Romana de Statistica - Year 2016, Vol 64, Issue 7

Abstract

In this paper, the authors propose an analysis model for the financial-monetary sector of a national economy. The model takes into consideration the indicators included in the balance of the central bank, and also the contents of the aggregate balance: external and internal assets and liabilities, and their components, specific to the central banks, as government loans and loans granted to commercial banks (assets), the components of monetary base, the government deposits (liabilities)

Authors and Affiliations

Constantin ANGHELACHE, Mădălina Gabriela ANGHEL, Marius POPOVICI

Keywords

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  • EP ID EP96363
  • DOI -
  • Views 196
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How To Cite

Constantin ANGHELACHE, Mădălina Gabriela ANGHEL, Marius POPOVICI (2016). Financial-monetary analysis model. Revista Romana de Statistica, 64(7), 14-23. https://europub.co.uk/articles/-A-96363