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A new indicator of risks and vulnerabilities, Appendix 3 The systemic risk indicator 1870-2019

28/05/2020 632,7 kB -

APPENDIX 3 THE SYSTEMIC RISK INDICATOR 1870-2019 – A NEW INDICATOR OF RISKS AND VULNERABILITIES IN THE SWEDISH FINANCIAL SYSTEM 1 Appendix 3 The systemic risk indicator 1870-2019 Appendix 3 presents the time series of the systemic risk

A new indicator of risks and vulnerabilities, staff memo

28/05/2020 1,8 MB -

Staff memo A new indicator of risks and vulnerabilities in the Swedish financial system fsdf Click here to enter text. Click here to enter text. May 2020 Dominika Krygier Peter van Santen Financial Stability

An index for financial conditions in Sweden, staff memo

12/02/2020 2,3 MB -

Staff memo An index for financial conditions in Sweden Jan Alsterlind Magnus Lindskog Tommy von Brömsen Monetary Policy Department February 2020 RB CONFIDENTIAL AN INDEX FOR FINANCIAL CONDITIONS IN

Bankruptcy at the time of COVID-19 – The Swedish experience

11/11/2020 649 kB -

Staff Memo Bankruptcy at the time of COVID-19 – The Swedish experience Cristina Cella Financial Stability Department November 2020 BANKRUPTCY AT THE TIME OF COVID-19 – THE SWEDISH EXPERIENCE 1 A staff

Forecasting short-term movements in the Swedish krona

09/11/2020 15 MB -

Staff memo Forecasting short-term movements in the Swedish krona Ana Maria Ceh Monetary Policy Department november 2020 Forecasting short-term movements in the Swedish krona 1 A staff memo provides members of the

Home equity extraction activities in Sweden

15/05/2020 393,7 kB -

Staff memo Home equity extraction activities in Sweden Jieying Li Peter van Santen Xin Zhang maj 2020 2 [22] A staff memo

Swedish corporate bonds during the coronavirus pandemic

25/01/2021 1,2 MB -

Staff memo Swedish corporate bonds during the coronavirus pandemic Stephan Wollert Financial Stability Department October 2020 KÄNSLIG SWEDISH CORPORATE BONDS DURING THE CORONAVIRUS PANDEMIC 1 A staff

Banking and climate-related risks, implications for financial stability in Sweden, Staff memo

26/05/2021 476,8 kB -

Staff memo Banking and climate-related risks, implications for financial stability in Sweden Cristina Cella Financial Stability Department May 2021 Abstract Cristina Cella Senior Economist, Systemic Risk

Equity market valuation in light of low interest rates

02/11/2021 1,3 MB -

Staff memo Equity market valuation in light of low interest rates Ana Maria Ceh Jonatan Manfredini Ola Melander Stephan Wollert November 2021 2 Table of contents 1 Equity price downturns could have consequences

A microdata-based approach to stress testing banks’ credit losses from corporate lending

09/11/2022 504,4 kB -

Staff Memo A microdata-based approach to stress testing banks’ credit losses from corporate lending Niklas Amberg Jieying Li Jakob Winstrand November 2022 2 Table of contents 1 Introduction 4 2 How the approach is