We collect data in order to:
monitor markets, financial institutions and the economy;
evaluate the severity of the risks impact, both considering individual and systemic risks.
Data Management Infrastructure
Data integration, comparing financial and economic data across multiple institutions and/or data-sources.
Data quality, taking into account the missing value problems.
Metadata management, to get a common platform with reliable data, which often derive from data-mergers (different databases) and data-adjustments on balance sheets items.