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dc.contributor.authorEklund, Trond
dc.contributor.authorGulbrandsen, Bjarne
dc.date.accessioned2018-07-10T11:07:34Z
dc.date.available2018-07-10T11:07:34Z
dc.date.issued2000
dc.identifier.issn0029-1676
dc.identifier.urihttp://hdl.handle.net/11250/2505010
dc.description.abstractThis article presents the primary elements of the analyses performed by Norges Bank to monitor stability in the financial system. Section 1 explains briefly why Norges Bank performs these analyses. Section 2 examines financial institutions’ risk exposure and Norges Bank’s methods for monitoring trends that can shed light on developments in risk exposure. Section 3 presents the Bank’s analyses of developments in financial institutions.nb_NO
dc.language.isoengnb_NO
dc.publisherNorges Banknb_NO
dc.rightsAttribution-NonCommercial-NoDerivatives 4.0 Internasjonal*
dc.rights.urihttp://creativecommons.org/licenses/by-nc-nd/4.0/deed.no*
dc.titleNorges Bank’s Surveillance of Financial Stabilitynb_NO
dc.typeJournal articlenb_NO
dc.subject.nsiVDP::Samfunnsvitenskap: 200::Økonomi: 210::Samfunnsøkonomi: 212nb_NO
dc.source.pagenumber53-60nb_NO
dc.source.journalEconomic Bulletinnb_NO
dc.source.issue2/2000nb_NO


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Attribution-NonCommercial-NoDerivatives 4.0 Internasjonal
Med mindre annet er angitt, så er denne innførselen lisensiert som Attribution-NonCommercial-NoDerivatives 4.0 Internasjonal