Macroprudential Analysis and Policy


The publication Macroprudential Analysis and Policy gives an overview of systemic risks and macroprudential policy implemented by the CBCG, given that financial stability represents its key mandate. In relation to the Financial Stability Report, which is the CBCG`s leading annual publication on financial stability trends, the overview of systemic risks here is presented in the context of macroprudential measures taken by the CBCG with the aim of protecting the financial system as a whole. Macroprudential Analysis and Policy is a more streamlined publication that covers the system’s mid-year developments, thus improving the overall timeliness of CBCG publications on financial stability.


Macroprudential Analysis and Policy - Volume 1