Series: Financial Stability Report.
Author: Banco de España.
Full document
Details of the Financial Stability Report. Autumn 2021
- Financial Stability Report digest 64 KB
- The stability of the Spanish financial system: main risks and vulnerabilities 465 KB
- 1. Risks linked to the macrofinancial environment 826 KB
- Box 1.1 The determinants of interest rates in the United States and Europe 256 KB
- 2. Risks to the financial sector and its resilience 960 KB
- Box 2.1 Impact of the public guarantee scheme on lending relationships between firms and banks 197 KB
- Box 2.2 Recourse to maturity and payment holiday extensions under the public guarantee programme for loans to firms 176 KB
- Box 2.3 The sovereign-bank nexus 266 KB
- 3. Systemic risk and prudencial policy 1 MB
- Box 3.1 Impact of climate change risks on the banking sector 1 MB
- Box 3.2 The value of housing and ecological degradation: the case of the Mar Menor 1 MB
- 4. Annex 1 MB
- Financial Stability Report presentation 1 MB