Content - આરબીઆઈ - Reserve Bank of India
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CONTENTS
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FOREWORD |
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1. |
THE THEME OF THE REPORT |
2. |
GENESIS AND THE NATURE OF THE CRISIS |
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Causes of the Crisis |
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Financial Crises in a Historical Perspective |
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How the Recent Crisis Differs from Earlier Crises |
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Concluding Observations |
3. |
MANIFESTATION OF THE CRISIS |
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Impact on Financial Markets |
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Impact on Financial System |
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Impact on the External Sector |
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Impact on Real Economy |
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Concluding Observations |
4. |
INTERNATIONAL RESPONSES TO THE CRISIS |
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Policy Responses During Financial Crises: Historical Perspective |
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Monetary Policy Responses |
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Fiscal Support to the Financial Sector |
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Counter-Cyclical Fiscal Policy: Keynesian Measures |
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Fiscal and Monetary Policy Co-ordination |
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Response of Multilateral Institutions |
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Financial Sector Policies |
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Concluding Observations |
5. |
IMPACT AND POLICY RESPONSES IN INDIA: FINANCIAL SECTOR |
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Channels of Global Integration |
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Impact of Global Crisis on Financial Markets |
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Banking Sector, Mutual Funds and Non-Banking Financial Companies |
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Policy Responses |
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Concluding Observations |
6. |
IMPACT AND POLICY RESPONSES IN INDIA: REAL SECTOR |
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Transmission of Global Shock to the Real Sector |
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Impact on India Through Trade Channel |
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Impact on India Through Financial Channel |
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Impact on Saving, Investment and Growth |
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Concluding Observations |
7. |
LESSONS FROM THE CRISIS AND FUTURE CHALLENGES |
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Lessons for Central Banks |
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Lessons for Financial Regulation and Supervision |
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International Policy Co-ordination |
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Role of International Financial Institutions |
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Global Imbalances and Macroeconomic Management |
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Lessons for Fiscal Policy |
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Role of Credit Rating Agencies |
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Balancing the Size of Financial and Real Sectors |
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Lessons for Emerging Market Economies Including India |
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Major Challenges for Policymakers |
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Concluding Observations |
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SELECT REFERENCES |
LIST OF BOX ITEMS |
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Box No. |
Title |
II.1 |
Originate-to-Distribute Model |
II.2 |
Credit Rating Agencies (CRAs): Boon or Bane? |
II.3 |
The Concept of Shadow Banking |
II.4 |
The Great Depression |
II.5 |
East Asian Crisis |
II.6 |
The Great Depression and India |
II.7 |
Genesis of Crisis in Greece |
III.1 |
Impact of Declining Asset Prices on Household Wealth |
III.2 |
Why Asian Exports Were Worst Affected |
III.3 |
Impact on Aggregate Demand |
III.4 |
Transmission Channels of Financial Crisis: Financial and Real Linkages |
III.5 |
Impact of the Global Crisis on Asia |
III.6 |
Labour Productivity Analysis during Boom and Bust Period |
IV.1 |
Lender of Last Resort |
IV.2 |
Policy Response during the Great Depression and the Recent Crisis |
IV.3 |
Quantitative Easing and Central Bank Balance Sheets |
IV.4 |
Measures Relating to Deposit Guarantee |
IV.5 |
Discretionary Fiscal Policy as Counter-Cyclical Measures |
IV.6 |
Relevance of Fiscal Policy in the Current Downturn |
IV.7 |
Some Requirements for Fiscal Policy Effectiveness |
IV.8 |
Determinates of Fiscal Multiplier |
IV.9 |
G-20 Working Group 3: Reform of the IMF |
IV.10 |
G-30 Report on Financial Reform: A Framework for Financial Stability |
IV.11 |
Report of G-20 Working Group 1 on Enhancing Sound Regulation and Strengthening Transparency: Major Recommendations |
IV.12 |
Turner Review: Major Recommendations |
IV.13 |
Recommendations of the High-Level Group on Financial Supervision in the European Union |
IV.14 |
Report of the Commission of Experts of the President of the United Nations General Assembly on Reforms of the International Monetary and Financial System (Chairman: Joseph E. Stiglitz) |
IV.15 |
G-20 Working Group 2: Reinforcing International Cooperation and Promoting Integrity in Financial Markets . |
IV.16 |
US Administration’s Financial Sector Plan |
IV.17 |
Enhancements to the Basel II Framework |
IV.18 |
FASB and IASB Approaches |
IV.19 |
Expanding the Scope of Financial Regulation |
V.1 |
Financial Openness and Economic Growth |
V.2 |
Policy Measures to Augment Forex Liquidity |
V.3 |
Major Global Events and Response of Indian Stock Markets |
V.4 |
Regulatory Measures |
V.5 |
Balance Sheet Effect of Monetary Policy |
V.6 |
Policy Measures to Address Financial Stress Faced by NBFCs |
V.7 |
Fiscal Policy Responses against the Backdrop of the Global Financial Crisis |
V.8 |
Monetary Policy Response.. |
VI.1 |
Loss of Potential Growth in India vis-à-vis Emerging Market Economies (EMEs) |
VI.2 |
Exports and Domestic Growth Relationship: The Growth Accounting Approach |
VI.3 |
The Gravity Model of Foreign Trade |
VI.4 |
India’s Exports of Engineering Goods |
VI.5 |
Affect of Commodity Prices on Asset Prices, Investment, Trade and Economic Activity |
VI.6 |
Global Crisis and Impact on Software Exports |
VI.7 |
Foreign Savings and Investment in India |
VI.8 |
Global Crisis and Performance of Corporates in India |
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|
Chart No. |
Title |
II.1 |
Global Imbalances: 1990-2009 |
II.2 |
US Real Interest Rate and Effective Fed Funds Rate |
II.3 |
Structured Finance Products: Matryoshka ‘Russian Doll’ Structure |
II.4 |
Capital Flows to Developing Countries during Crisis Episodes (as % to GDP) |
II.5 |
Trends in EME Trade Volume during Crisis Episodes (percentage change) |
II.6 |
US GDP Growth since 1930s (annual percentage change) |
III.1 |
Funding Liquidity and Inter-bank Spreads |
III.2 |
Impact on the Credit Market |
III.3 |
Movements in Equity Markets |
III.4 |
Impact on Corporate Bond Market |
III.5 |
Volatility in Government Bond Yields |
III.6 |
Movement in Exchange Rates |
III.7 |
Movement in Commodity Prices |
III.8 |
Movement in House Prices |
III.9 |
Realised and Expected Write downs of Loss Provision for Banks |
III.10 |
Bank Failures in the United States |
III.11 |
Insurance Sector Credit Default Swap Spread |
III.12 |
International Trade – Trends and Significance |
III.13 |
Monthly Trade Performances |
III.14 |
Region-wise Trade Performance |
III.15 |
Remittances Outflows |
III.16 |
Net Capital Flows to Emerging and Developing Countries |
III.17 |
Impact of Crisis on Economic Growth |
III.18 |
Synchronised Fall in GDP Growth |
III.19 |
Consumer Price Inflation – Select Countries |
III.20 |
Real GDP in the Euro Area |
III.21 |
Growth of Industrial Production (SA) |
IV.1 |
Monetary Policy Rates: Deviation from the Taylor Rule |
IV.2 |
Policy Rates Cuts in EMEs during Sept. 2008 to June 2009 |
IV.3 |
Size of Fiscal Packages (revenue and spending measures) in OECD Countries during 2008-10 (as % of 2008 GDP) |
IV.4 |
Discretionary Fiscal Stimulus and Automatic Stabilisers in OECD Countries |
IV.5 |
Discretionary Fiscal Stimulus and Output Gap in G-20 Countries |
IV.6 |
Discretionary Fiscal Stimulus and Initial Debt Position in G-20 Countries |
V.1 |
Key Transmission Channels of Global Shocks on the Domestic Economy |
V.2 |
External Openness of Indian Economy |
V.3 |
Cyclical synchronisation of GDP with Exports, Bank Credit and Capital Flows (Correlation coefficient) |
V.4 |
Trends in Exchange Rates (USD-INR) |
V.5 |
Volatility and Rate in India’s Forex Market |
V.6 |
Movement in Indian Rupee |
V.7 |
Forex Swap Facility and USD-INR Volatility |
V.8 |
Liquidity Adjustment Facility and Call rate |
V.9 |
Call Rate Volatility |
V.10 |
Liquidity Position and Money Market Rate |
V.11 |
CP and CD Issuances |
V.12 |
Money Market Spreads |
V.13 |
Developments in Government Securities Market |
V.14 |
Movements in Benchmark Yieds (1y, 5y and 10y) during 2007-09 |
V.15 |
Volatility in Stock Markets |
V.16 |
Growth Trend in Sectoral Bank Credit |
V.17 |
Trends in Credit Growth and Economic Activity |
V.18 |
Interest Rates Movements |
V.19 |
BSE Sensex and Net Investments by Mutual Funds |
V.20 |
Financial Stress Indicators |
V.21 |
Relative Contribution of Government Consumption to GDP Growth |
VI.1 |
Trends in GDP Growth |
VI.2 |
India’s Business Cycle Synchronisation (2005Q1-2009Q2) |
VI.3 |
Synchronisation of the Industrial Sector |
VI.4 |
Exports and External Demand |
VI.5 |
Imports and Industrial Activity |
VI.6 |
India’s Imports of Commodities and Global Prices |
VI.7 |
Global Commodity Price Cycles |
VI.8 |
Oil and Food Prices |
VI.9 |
Trade-Related Services |
VI.10 |
Remittances: Trends and Relationship with International Oil Prices |
VI.11 |
Capital Flows and Domestic Capital Formation |
VI.12 |
ECB Disbursements and Capital Goods Imports |
VI.13 |
Indicators of Finance Channel |
VI.14 |
Trends in Quarterly Growth in Demand-Side Components |
VI.15 |
Trends in Cyclical IIP, Exports and FDI |
VI.16 |
Relative Contribution of Services |
LIST OF TABLES
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Table No. |
Title |
2.1 |
Macro Parameters of the United States |
2.2 |
Current Account Balance |
2.3 |
Current Account Balance (per cent to GDP) |
2.4 |
Savings and Investment |
2.5 |
Exports of Goods and Services |
2.6 |
Mortgage Originations |
2.7 |
Global Issuance of Credit Debt Obligations (CDOs) |
2.8 |
U.S. Sub-prime Exposures and Losses |
2.9 |
Incidence of Financial Crisis |
2.10 |
Frequency of Financial Crisis :1973-2007 |
2.11 |
Major Financial Crises: 1873-2007 |
2.12 |
Global Crises Originating in the USA |
2.13 |
Duration and Depth of Financial Crises |
2.14 |
Previous Episodes of Global Imbalances |
2.15 |
Systemic Crises: Broad Indicators |
2.16 |
Cross-Country Crises: Initial Conditions |
2.17 |
United States: Great Depression vs. Recent Crisis |
3.1 |
Movement in Interbank Spreads |
3.2 |
Growth of Private Domestic Credit in Select Asian Economies |
3.3 |
Credit Market Spreads |
3.4 |
Emerging Market Equity Issuance |
3.5 |
Stock Market Changes - Select Countries |
3.6 |
Performance of Emerging Equity Prices |
3.7 |
Cross-Country Stock Market Capitalisation |
3.8 |
Emerging Market Bond Issuance-Select Countries |
3.9 |
Emerging Market Bond Spreads – Select Countries |
3.10 |
Sovereign External Borrowings in Emerging Europe |
3.11 |
Exchange Rates : Appreciation (+)/Depreciation (-) of Currencies against the US dollar |
3.12 |
Movement of Real Effective Exchange Rates of Select Emerging Countries |
3.13 |
Movement in Global Commodity Prices |
3.14 |
Profitability of Major Banks as a Percentage of Total Average Assets |
3.15 |
Banking Indicators – Select Countries |
3.16 |
Select Asian Banks with Exposure to Lehman Brothers |
3.17 |
Bank Ratios |
3.18 |
Banking Indicators – Select Countries |
3.19 |
Emerging Market Hedge Funds |
3.20 |
Trade Openness – Select Countries |
3.21 |
Developments in World Trade Volumes |
3.22 |
Trade Performance of Select Asian Countries |
3.23 |
World Exports of Merchandise and Commercial Services |
3.24 |
Remittance Flows to Developing Countries, 2002-09 |
3.25 |
Major Remittance-receiving Developing and Transition Economies in 2009 |
3.26 |
Cross-country Movement of Trade Balance and Current Account Balance |
3.27 |
Capital Flows in EMEs: Various Episodes Compared |
3.28 |
Net Capital Inflows to EMEs by Region |
3.29 |
Net External Capital Flows to Developing Countries |
3.30 |
Outflows from Major Advanced Economies |
3.31 |
Cross-country Movement of FDI Flows |
3.32 |
Cross-country Movement of Portfolio Flows |
3.33 |
Cross-country Comparison of Short-term Trade Credit |
3.34 |
International Short-term Liabilities up to One Year Remaining Maturity |
3.35 |
International Reserve Movement |
3.36 |
Growth in Real GDP |
3.37 |
Quarterly GDP Growth |
3.38 |
Comparison of GDP Growth Estimates for 2009 |
3.39 |
Gross Saving and Investment |
3.40 |
Trends in Consumer Price Inflation |
3.41 |
Composition of Real Domestic Demand (seasonally adjusted) |
3.42 |
Residential Property Prices in the Euro Area |
3.43 |
Government Fiscal Balance |
3.44 |
Real GDP Growth, Investment and Exports – Select Asian Economies |
3.45 |
Unemployment Rates |
4.1 |
Typology of Conventional and Unconventional Measures of Central Banks |
4.2 |
Policy Rate Cuts in Advanced Countries |
4.3 |
Select Recent Central Bank Measures |
4.4 |
Major Crisis Interventions Introduced by Central Banks |
4.5 |
Select Unconventional Measures by EME Central Banks |
4.6 |
Measures Implemented in Select EMEs (September 2008-May 2009). |
4.7 |
Effectiveness of Crisis Interventions |
4.8 |
3-Month LIBOR-Overnight Index Swap Spread: Declines from Peak |
4.9 |
Support to Financial Sector as on June 2009 (as % of 2008 GDP) |
4.10 |
Fiscal Costs of Selected Crises in the Past (as per cent of GDP) |
4.11 |
Financial Sector Support Utilised Relative to Announcement (as % of 2008 GDP) |
4.12 |
Size of Discretionary Measures in G-20 Countries, 2008-10 |
4.13 |
Composition of Fiscal Packages in OECD Countries during 2008-10 (as % of GDP) |
4.14 |
G-20 Stimulus Measures, 2008-10 |
4.15 |
Multipliers in OECD Countries |
4.16 |
G-20 Countries- Impact of Fiscal Expansion on Growth |
4.17 |
Debt Dynamics and Debt Stabilising Primary Balances |
5.1 |
Openness Indicators of Indian Economy |
5.2 |
Transactions in Foreign Exchange Rate Market. |
5.3 |
Movement of Indian Rupee |
5.4 |
Activity in Money Market Segments |
5.5 |
Transactions in Government Securities Market |
5.6 |
New Capital Issues by Non-Government Public Ltd. Companies |
5.7 |
Market Capitalisation of Stock Exchanges: Region-wise |
5.8 |
Market Capitalisation of Stock Markets in Emerging Market Economies |
5.9 |
Cyclical Synchronisation of Indian Stock Market with Select Countries |
5.10 |
Integration of India’s Stock Market with Regional and Global Markets Long-run Co-integrating Relation (April 1993 to July 2009, weekly stock prices in US dollars) |
5.11 |
Trends in BSE and Nifty Indexes |
5.12 |
Stock Market Indicators |
5.13 |
FII Flows and India’s Stock Market: Causal Relationship |
5.14 |
Real Stock Return and Industrial Production Growth Pair-wise Granger Causality Tests |
5.15 |
Bank Size and Average Operating Performance |
5.16 |
Growth of Balance Sheet of Scheduled Commercial Banks- Bank Group-wise |
5.17 |
Credit Growth and Financial Performance: 2008-09 |
5.18 |
Growth in Sectoral Bank Credit |
5.19 |
Resource Mobilisation by Mutual Funds |
5.20 |
Sector-wise Net Resources Mobilised by Mutual Funds |
5.21 |
Consolidated Balance Sheet of NBFCs-D |
5.22 |
NPA Ratios of NBFCs-D |
5.23 |
Financial Performance of NBFCs-D |
5.24 |
Monthly Financial Stress Indicators |
5.25 |
Liquidity Injection/ Availability Since September 2008 |
6.1 |
Shift in the Composition of Aggregate Demand in India |
6.2 |
Correlation between Growth of India and the World Economy |
6.3 |
India’s Business Cycle Synchronisation (GDP Growth) with Advanced and Emerging Market Economies (EMEs) . |
6.4 |
India’s Business Cycle Synchronisation (Household Consumption) with Advanced and Emerging Market Economies (EMEs) |
6.5 |
World Trade Performance |
6.6 |
Elasticity Response of India’s Commodity Exports to World Income |
6.7 |
Contribution of Consumption, Investment and Exports to Economic Growth |
6.8 |
Some Determinants of Private Consumption in India |
6.9 |
India’s Trade Performance |
6.10 |
Composition of India’s Commodity Exports |
6.11 |
Global Crisis and India’s Exports |
6.12 |
Geographical Diversification of India’s Exports |
6.13 |
Relative Price and Real Demand Effects on India’s Broad Direction of Exports (Long-run Co-integration Coefficients) |
6.14 |
Principal Characteristics of Leading Export Industries |
6.15 |
Firm-level Export Orientation |
6.16 |
Global Crisis and India’s Imports |
6.17 |
Commodity Composition of India’s Imports |
6.18 |
Geographical Diversification of India’s Imports |
6.19 |
Import Intensity of Production: Firm-Level Evidence |
6.20 |
Pass-through of International Oil Prices to Export Prices of Developed and Emerging Market Economies: Granger Causal Analysis |
6.21 |
Correlation of India’s Import Prices with Global and Regional Export Prices |
6.22 |
Correlation of India’s Import Price Index with Domestic Prices (WPI) |
6.23 |
Oil Imports Volume Growth |
6.24 |
India’s Imports and Exports of Food |
6.25 |
India’s Dependence on Imports for Consumption Requirements |
6.26 |
Comparative Position of India among Top Service Exporters, 2008 |
6.27 |
Growth in Services Exports and Imports (US$) |
6.28 |
India’s Foreign Exchange Earnings from Tourism Sector |
6.29 |
Software Services Export |
6.30 |
Software Services Exports of India |
6.31 |
India: Net Capital Flows |
6.32 |
Foreign Investment in India |
6.33 |
Change in Reserves |
6.34 |
Contribution to Gross Domestic Savings |
6.35 |
Gross Domestic Capital Formation at Current Prices |
6.36 |
Quarterly Growth in GDP at Factor Cost |
6.37 |
Cyclical Co-movements of GDP with Components of Aggregate Demand (Correlation Coefficient) |
6.38 |
Growth in Demand Components of GDP (At 2004-05 prises) |
6.39 |
Sectoral Growth in GDP (At 2004-05 prises) |
6.40 |
Industrial Growth in Advanced and Emerging Market Economies |
6.41 |
Performance of Broad-Based Sectors in Industry |
6.42 |
Growth Performance of 17 two-digit Manufacturing Industries |
6.43 |
Average Growth in Export-Oriented Manufacturing Industries (based on IIP) |
6.44 |
Monthly Growth of Use-based Industries |
6.45 |
Gap Between Targets and Achievements of Infrastructure Industries |
6.46 |
Growth of Services Sector at Disaggregated Level |