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The Financial Market Report 1998:1

Sveriges Riksbank Financial Market Report 1/1998 Contents Foreword 3 Chapter 1 Risks in the bank sector 5 A catalogue of banking risks 6 Credit risk predominates 12 Chapter 2 Credit risks in the banks 15 Focus on households and firms 15 The...

Data to Financial Stability Report 2007:1

Data 1.1 Chart 1:1. Ten-year government bond rates Per cent Index: January 2002=100 Source: Reuters Ecowin Sweden Germany USA 2000-01-03 5.855 5.499 6.594 2000-01-04 5.890 5.493 6.499 2000-01-05 5.890 5.501 6.599 2000-01-06 5.890 5.551 6.540...

Chapter 1

Chapter 1 Difference between the SEK/USD FX-swap implied dollar interest rate and the USD libor rate, 3 months Per cent Source: Bloomberg Chart 1:1 Start of the financial crisis Lehman Greece Swedish and international stress index Sources:...

Norwegian monetary policy seen from abroad

65SverigeS rikSbank economic review 2017:2 * The author would like to thank Goran Katinic for all help with collecting and presenting the data in this article, Andy Filardo for permission to use data from Filardo and Hofmann (2014) in Figures...

Penning- och valutapolitik 2002:3

Den pågående konsolideringen i banksektorn leder till ett mer koncentrerat system bestående av allt större banker. Denna utveckling innebär en svår balansgång för ansvariga myndigheter. Målet att säkerställa konkurrensen och stabiliteten i...

Penning- och valutapolitik 2002:2

Under de senaste årtiondena har många centralbanker fått en väsentligt ökad grad av självständighet, eftersom detta har ansetts stärka deras möjlighet att be- driva penningpolitik. En fråga som endast berörts i begränsad utsträckning är i vilken...

2005:2 The Riksbank’s management of interest rates – monetary policy in practice - Annika Otz

The Riksbank’s management of interest rates – monetary policy in practice BY ANNIKA OTZ Annika Otz works at the Market Operations Department. The Riksbank’s interest rate management is the operational component of its monetary policy process.

Penning- och valutapolitik 2002:2

Rixmod är en större makromodell som Riksbanken regelbundet använder för po- licyanalys och prognosändamål. Syftet är att ge vägledning till hur penningpolitik med inflationsmål bör bedrivas. Ambitionen med Rixmod har varit att i en och samma...

Penning- och valutapolitik 2002:1 Hushållen, aktiemarknaden och det finansiella systemet

Under de senast decennierna har intresset hos allmänheten för att spara i aktier brett ut sig. Antalet personer som äger aktier har också ökat mycket snabbt, inte minst under senare år. Denna uppgång har sammanfallit med en historiskt sett...