The Financial Stability Report is a half-yearly publication that analyses the risks to the Spanish financial system and the profitability and solvency of Spanish deposit institutions in both a backward- and forward-looking fashion. The report likewise presents the Banco de España's macroprudential policy and measures.
This report was published as the first chapter of the Financial Stability Journal between November 2002 and May 2004, with the Financial Stability Report becoming an independent publication as from November 2004. All the reports may be browsed in this section.
All documents are available in PDF format