The Financial Stability Report* examines the functioning of the financial system, including an outlook for the medium term. Given the prudential regulation framework in place, and based on a study of the context in which the financial system must operate and of its asset and liability management policies, the Report moves on to analyse net exposure to risks from financial activity itself, the business outlook and the development of the system's net worth. The Financial Stability Report will be published every six months.
* From March 2008 it has been renamed from Financial Stability Bulletin to Financial Stability Report.
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