
Serie: Financial Stability Report.
Author: Banco de España.
Full document
Details of the Financial Stability Report. Spring 2021
- Financial Stability Report digest 66 KB
- The stability of the Spanish financial system: main risks and vulnerabilities 353 KB
- 1. Risks linked to the macrofinancial environment 782 KB
- Box 1.1 Recent developments in corporate risk premia and their determinants 193 KB
- Box 1.2 Heterogeneity in developments in the bank debt of individuals and firms during the COVID-19 pandemic 174 KB
- Box 1.3 Business solvency support measures 164 KB
- 2. Risks to the financial sector and its resilience 958 KB
- Box 2.1 Monitoring of loans with public (ICO) guarantee 228 KB
- Box 2.2 Monitoring loan moratorium schemes 209 KB
- Box 2.3 An initial analysis of the possible introduction of a digital euro 169 KB
- Box 2.4 Recent corporate transactions in the Spanish banking sector 164 KB
- 3. Systemic risk and prudential response to COVID-19 400 KB
- Box 3.1 Assessing credit risk on the basis of stock market information 207 KB
- Box 3.2 Updated impact of the finalisation of the Basel III framework on the banking sector 194 KB
- Box 3.3 New macroprudential tools applicable to the activity of credit institutions in Spain 159 KB
- 4. Annex 191 KB
- Financial Stability Report presentation 1 MB