Report on the financial and banking crisis in Spain, 2008-2014

The purpose of this report is to offer an orderly and systematic analysis of the impact of the international financial crisis that commenced in 2007 on the Spanish financial system and of the set of regulatory, supervisory and intervention measures adopted during the period 2008-2014.

This report, which was coordinated by Fernando Eguidazu, a Banco de España council member, was drafted by the Directorate General Banking Supervision, the Directorate General Economics, Statistics and Research, the Directorate General Financial Stability, Regulation and Resolution, and the General Secretariat of the Banco de España.

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