Series: Financial Stability Report.
Author: Banco de España.
Full document
Details of the Financial Stability Report. Spring 2019
- Main risks to the stability of the Spanish financial sector 299 KB
- 1. Risks in the macrofinancial environment 1 MB
- Box 1.1 Determinants of the behaviour of the consumer credit portfolio 216 KB
- Box 1.2 Leveraged loans to corporates 278 KB
- Box 1.3 International investment position of Spain 242 KB
- 2. Risks to the financial sector and its resilience 1 MB
- Box 2.1 The reform of benchmark rates: from EONIA to €STR 58 KB
- Box 2.2 Central clearing counterparties and their implications for financial stability 233 KB
- 3. Macroprudential policy 406 KB
- Box 3.1 AMCESFI: the new macroprudential authority for the Spanish financial system 204 KB
- Box 3.2 Calculating the credit-to-gdp gap and financial cycle duration in Spain 209 KB
- 4. Annex 119 KB
- Financial Stability Report presentation 564 KB