The book integrates the basic principles of economic statistics, financial accounts, international finance, econometric models, and financial network analysis, providing a systematic and comprehensive introduction to the interconnection between these research fields.
Part 1: Methods and Applications for Flow of Funds Analysis.- Chapter 1. The Basic Structure and Main Modes of Flow of Funds Accounts.- Chapter 2. Statistical Observations Mentioned in Chinese Flow of Funds: 1992-2017.- Chapter 3. Measuring the Ripple Effect and Financial Risk in China’s Flow of Funds.- Chapter 4. The Mirror Image Relationship between China and the U.S. in the External Flow of Funds.- Part 2. Measuring Global Flow of Funds.- Chapter 5. From the Flow of Funds Accounts to Global Flow of Funds Statistic.- Chapter 6. A Framework for Global Flow of Funds Matrix.- Chapter 7. Measuring Global Flow of Funds: Data Sources, Approaches and Big Data Techniques.- Chapter 8. The Theoretical Model for Global-Flow-of-Funds Analysis.- Part 3. Methods and Applications for Global Flow of Funds Analysis.- Chapter 9. A Statistical Monitoring System of Global-Flow-of-Funds: Financial Stability in China.- Chapter 10. Measuring Global Flow of Funds: A Case Study on China, Japan and the United States.- Chapter 11. Global Flow of Funds and Uncertainty: Focus on the Cross-Border Banking Financing.- Chapter 12. Financial Network Analysis on Global Flow of Funds in G20.