Variable: Economic Policies: Global Financial System

QoG Code: (sgi_ecgf)


Dataset: Sustainable Governance Indicators

Description:

The Global Financial System subpillar of the Economic Policies category evaluates the government’s role in actively contributing to the effective regulation and supervision of the global financial system. It examines key indicators such as Stabilizing the Global Financial System, Tier 1 Capital Ratio, Banks’ Nonperforming Loans, Financial Secrecy Score, and External Debt to Exports, focusing on ensuring financial stability and resilience.

Type of variable: Continuous

Downloaded by QoG on: 2025-01-20
Last updated by source: 2024-12-17


Categories:

Public Economy


Find this variable in:

OECD Cross-section - 2025 Standard Cross-section - 2025 Standard Time-series - 2025 Original Dataset

Details of this variable in our compilations datasets
Dataset No. Countries
Standard cross-section: 41
Standard time-series: 41
OECD cross-section: 30


This variable has information for these countries:

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This variable has information from the year 2013 to the year 2021