Series: Financial Stability Report.
Author: Banco de España.
Full document
Details of the Financial Stability Report. Autumn 2022
- Financial Stability Report digest 87 KB
- The stability of the Spanish financial system: main vulnerabilities and risks 647 KB
- 1. Risks linked to the macro-financial environment 1.008 KB
- Box 1.1 Global geopolitical tensions: channels of impact on the European Union 364 KB
- Box 1.2 The pass-through of market interest rates to the cost of bank loans to households and firms 240 KB
- 2. Financial sector risks and resilience 1 MB
- Box 2.1 Credit quality of exposures subject to maturity extension and grace period expiry under the public guarantee programme for loans to non-financial corporations 253 KB
- Box 2.2 Forward-looking assessment of the Spanish banking system’s resilience 326 KB
- Box 2.3 ECB opinion on the proposed temporary levy on the Spanish banking sector 171 KB
- 3. Systemic risk and prudential policy 737 KB
- Box 3.1 The effect of credit standards for mortgage loans on credit growth and on default risks assumed 294 KB
- 4. Annex 204 KB
- Financial Stability Report presentation 1 MB