Thailand: Financial System Stability Assessment; imf country Report No. 19/308; September 10, 2019
CRISIS MANAGEMENT AND RESOLUTION ____________________________________________________ 34
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CRISIS MANAGEMENT AND RESOLUTION ____________________________________________________ 34
DEVELOPMENTAL CHALLENGES _______________________________________________________________ 35 A. Funded Pension Scheme ______________________________________________________________________ 35 B. FinTech _______________________________________________________________________________________ 35 CONTENTS THAILAND 4 INTERNATIONAL MONETARY FUND FIGURES 1. Financial System Structure ____________________________________________________________________ 12 2. Financial System Soundness Indicators ________________________________________________________ 13 3. Balance Sheet Structure of Banks and SFIs ____________________________________________________ 14 4. Capital Markets and Mutual Fund Industry ____________________________________________________ 16 5. Financial Vulnerabilities _______________________________________________________________________ 17 6. Selected Facts of the Household Sector _______________________________________________________ 18 7. Selected Facts of the Corporate Sector ________________________________________________________ 19 8. Comparison Between Thailand Macroeconomic Baseline and Stress Scenarios _______________ 20 9. Solvency Stress Test Results ___________________________________________________________________ 21 10. Interest Rate Risk in the Banking Book - Impact on EVE and NII _____________________________ 22 11. Profile of New Mortgages ___________________________________________________________________ 23 12. Liquidity Stress Test Results __________________________________________________________________ 24 13. Balance Sheet-Based Measures of Interconnectedness Among Banks _______________________ 26 14. Market Data-Based Joint Default Probability (PoD) and Spillover Coefficient Among Banks and Insurance Companies _______________________________________________________________________ 27 15. Market Data-Based Measures of Interconnectedness in the Financial System________________ 28 16. Effectiveness of Macroprudential Policy Tools _______________________________________________ 30 TABLES 1. Key Recommendations ________________________________________________________________________ 11 2. Selected Economic Indicators _________________________________________________________________ 37 3. Financial System Structure ____________________________________________________________________ 38 4. Financial Soundness Indicators (2013–2018) __________________________________________________ 39 5. Risk Assessment Matrix _______________________________________________________________________ 40 6. Macroeconomic Scenario Projections (2018–2021) ____________________________________________ 41 7. Investment Fund Liquidity Stress Tests - Asset Sales __________________________________________ 42 Download 1.73 Mb. Do'stlaringiz bilan baham: |
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