Statistical Aspects of the Macrofi nancial Vulnerabilities Analysis: Balance Sheet Approach

Journal Title: Globalization and Business - Year 2016, Vol 1, Issue 1

Abstract

Recent globalization of financial relations leads to various unbalances of fi nancial assets and liabilities of the emerging economies. However, appropriate statistical tools for facilitating adequate analysis are still under development and implementation. This paper provides practical introduction on how National Bank of Georgia try to design statistical framework to study such kind of unbalances in the economy and represents fi rst attemp of empirical analysis of the balance sheet of the country.

Authors and Affiliations

Nana Aslamazishvili

Keywords

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  • EP ID EP568057
  • DOI -
  • Views 101
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How To Cite

Nana Aslamazishvili (2016). Statistical Aspects of the Macrofi nancial Vulnerabilities Analysis: Balance Sheet Approach. Globalization and Business, 1(1), 115-120. https://europub.co.uk/articles/-A-568057