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dia_ppr_171026_en_Kj41L99

15/11/2017 3,6 MB -

Monetary Policy  Report October 2017 Chapter 1 Figure 1.1. Repo rate with uncertainty bands Note. The uncertainty bands for the repo rate are based on the Riksbank’s historical forecasting errors and the ability of  risk‐premium adjusted 

CPIF as target variable for monetary policy, article in Monetary Policy Report, September 2017

15/11/2017 105,2 kB -

14  MONETARY POLICY REPORT SEPTEMBER 2017  The CPIF as target variable for monetary policy  Since the inflation target was introduced in 1993, it has been  defined in terms of the consumer price index (CPI). The  selection of this measure when 

The Swedish retailpayment market, June 2013

28/12/2017 2,3 MB -

The Swedish retail- payment market S v e r i g e S r i k S b a n k Riksbank Studies, June 2013 The Riksbank’s review of the retail payment market in Sweden to order this publication, please contact Sveriges Riksbank, Kontorsservicecenter

Slides, Monetary Policy Report April 2019

25/04/2019 3 MB -

Monetary Policy Report April 2019 Chapter 1 Figure 1.1. Repo rate with uncertainty bands Note. The uncertainty bands for the repo rate are based on the Riksbank’s historical forecasting errors and the ability of  risk‐premium adjusted 

Minutes of the Monetary Policy Meeting held on 26 April 2017

15/11/2017 438,9 kB -

Monetary policy minutes April 2017 Summary At the monetary policy meeting on 26 April, the Executive Board of the Riksbank decided to continue purchasing government bonds during the second half of 2017, both nominal and real

Minutes of the Monetary Policy Meeting held on 19 December 2017

24/01/2018 426,8 kB -

Monetary policy minutes December 2017 Summary At the Monetary Policy Meeting on 19 December 2017, the Executive Board of the Riksbank decided to hold the repo rate unchanged at -0.50 per cent. It is expected that rate rises

rap_fsr2_diagram_appendix_eng

29/12/2017 869,2 kB -

FINANCIAL STABILITY 2/2017 1 Financial Stability Report 2017:2 Appendix - Charts 22 Nov 2017 2 FINANCIAL MARKETS Financial markets Chart A1. Central banks' balance sheet in relation to GDP

Charts, Financial Stability Report 2017:2

29/12/2017 3,9 MB -

Financial Stability 2017:2 Chapter 1 The economic and financial situation 1:1 Stock market movements Sources: Macrobond and Thomson Reuters Index, 2 January 2015 = 100 1:2 Price development on housing Note. Housing prices are

rap_fsr2_pkbilder_171122_eng

29/12/2017 880,6 kB -

Financial Stability Report November 2017 The financial system is exposed to risks • Households’ high indebtedness – the greatest risk • The housing market • Uncertainty over global political and macroeconomic development Debt-to-income