EDN: CJFWWV
DOI: https://doi.org/10.65891/2949-1983-2025-21-3-24-28
Authors:
MEDVEDEVA Ekaterina Viktorovna (Volga Region State University of Service)
Abstract.
Modern financial markets are characterized by high dynamism and complexity, which requires government regulators to constantly improve their supervision and control methods. In this context, the role of financial statistics becomes critical as a key tool for understanding market processes, identifying risks and assessing the effectiveness of measures taken. This study is devoted to a comprehensive analysis of the meaning and application of financial statistics in the system of state regulation of the financial market. The main goal is to assess how the collection, processing and analysis of financial data contributes to increasing the transparency, stability and reliability of the financial system, as well as identifying and preventing systemic risks. The paper examines modern approaches to collecting and analyzing financial information used by leading global regulators. Particular attention is paid to identifying key performance indicators of regulation, as well as problems and limitations that arise in the process of using financial statistics. The results of the study are intended to demonstrate how the effective use of financial statistics can significantly improve the quality of government regulation, thereby ensuring stability and sustainable development of the financial sector.
Keywords:
financial statistics, government regulation, financial market, performance assessment, systemic risks, stability of the financial system, economic security
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