Financial Stability Report 2014: vulnerabilities and risks
Report
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http://hdl.handle.net/11250/2563336Utgivelsesdato
2014Metadata
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Beskrivelse
In the annual Financial Stability Report, Norges Bank assesses vulnerabilities and risks in the financial system, with particular focus on the long-term, structural features of banks, financial markets and the Norwegian economy that are of importance for financial stability. An ongoing assessment of financial imbalances and the banking sector is included in Norges Bank’s Monetary Policy Report with financial stability assessment in conjunction with Norges Bank’s monetary policy assessments and the decision basis for the countercyclical capital buffer for banks. The Executive Board discussed the 2014 Financial Stability Report at its meeting on 22 October.