Poverty and Development Division
(PDD)

last updated : 27 April 2000

Economic and Social Survey of Asia and the Pacific, 2000

PART TWO: ECONOMIC AND FINANCIAL MONITORING AND SURVEILLANCE VI. IMPROVING AND COMPLEMENTING EXISTING SURVEILLANCE MECHANISMS Go to:
Survey 2000 contents


Table VI.2. Indicators under a stress classification

Macroeconomic stress External stress Financial stress Institutional stress
Fiscal deficit International reserves Composition of foreign capital flows Exchange rate system
Inflation rate Foreign investment Interest rates Risk management measures
Real GDP growth or level Exchange rate Credit growth Prudential measures (regulatory framework, enforcement and quality of bank and financial market supervision)
Savings-investment gap Trade balance Money supply Capital adequacy provisions
Employment/unemployment Terms of trade M2/international reserves Level of non-performing loans
Financial market indices
Parallel financial market premium Measures of transparency
Government consumption OECD growth Central bank credit to banks/public sector Independence of central bank


Private sector debt Measures of creditor and property rights


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