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Consequences for financial stability of Nordea’s relocation to Finland, article in the Financial Stability Report May 2018
21/05/2019 178,7 kB -FINANCIAL STABILITY 2018:1 35 If Nordea relocates to Finland, the bank becomes a part of the Single Supervisory Mechanism (SSM), where the ECB is in charge of the supervision of the significant banks. The relocation, which is planned
The interconnectedness of insurance companies, National Pension Insurance Funds and banks via the foreign exchange market, article Financial Stability Report 2020:1
20/05/2020 217,7 kB -36 FINANCIAL STABILITY 2020:1 Swedish companies need foreign exchange Sweden is a small, open economy with considerable foreign trade and a financial system that is dependent on international financial markets. In addition, a
SWESTR is a part of the global reform of reference rates, article in the Financial Stability Report 2021:1
26/05/2021 999 kB -ARTICLE – SWESTR is a part of the global reform of reference rates 93 ARTICLE – SWESTR is a part of the global reform of reference rates The traditional reference rate in Swedish kronor, STIBOR, is based to an excessive degree on
Banks and the Swedish covered bond market, article in the Financial Stability Report 2026_1
29/05/2026 790.5 kB -ARTICLE – Banks and the Swedish covered bond market 47 ARTICLE – Banks and the Swedish covered bond market The Swedish covered bond market is a central and unique part of the Swedish financial system. This article describes how banks play
rap_fsr1_diagram_appendix_170524_sve
15/11/2017 967,6 kB -FINANSIELL STABILITET 1/2017 1 Finansiell stabilitet 2017:1 Diagramappendix 24 maj 2017 2 FINANSIELLA MARKNADER Finansiella marknader Diagram A1. Centralbankers balansomslutning i förhållande
rap_fsr1_pkbilder_170524_sve
15/11/2017 791,3 kB -Finansiell stabilitet Maj 2017 Sårbart finansiellt system utsatt för risker • Hög skuldsättning – den främsta risken • Låga räntor bidrar till höga värderingar • Politisk osäkerhet och risk för svag makroekonomisk utveckling globalt
rap_fsr2_diagram_sve
28/12/2017 3,5 MB -Finansiell stabilitet 2017:2 Kapitel 1 Det aktuella ekonomiska och finansiella läget 1:1 Börsutveckling Källor: Macrobond och Thomson Reuters Index, 2 januari 2015 = 100 1:2 Prisutveckling på bostäder Anm. Bostadspriserna är
Bilder från presskonferensen den 21 november 2018
21/11/2018 762 kB -Finansiell stabilitet November 2018 Risker kopplade till den globala utvecklingen Handelskonflikter Brexit Europeisk banksektor Offentliga finanser i Europa Tillväxtekonomier Hushållens skuldsättning den största risken Hushållens
Financial Stability Report 2022_2
27/03/2023 1,9 MB -S V E R I G E S R I K S B A N K Financial Stability 2022:2 Rectification 27 March 2023 Facts corrected in text on page 8 2 The Riksbank’s Financial Stability Report The Riksbank’s Financial Stability Report is published twice a
Bilder från presskonferensen 29 maj 2026
29/05/2026 1.7 MB -Kriget i Mellanöstern ökar osäkerheten och medför risker för den finansiella stabiliteten Finansiell stabilitet maj 2026 Stora rörelser på energi- och finansmarknader Energipriser EUR/MWh och USD/fat. Den streckade linjen markerar tidpunkten