Financial Stability Review 1/2008

Financial Stability Review 1/2008

CONTENTS

SUMMARY
Financial behaviour of companies and households and related risks
Banking market
Securities market and other financial intermediaries
Payment and settlement systems
Conclusion and financial stability risks
I FINANCIAL BEHAVIOUR OF COMPANIES AND HOUSEHOLDS AND THEIR RISKS
COMPANIES
Corporate business situation
Corporate financial position and saving
Corporate debt
HOUSEHOLDS
Economic situation of households
Financial position and savings
Household debt and loan-servicing capability
II BANKING SECTOR STABILITY AND RISKS
Strategic development of the banking sector
Quality of assets
Capital adequacy
STRESS TEST OF OVERDUE LOANS AND CAPITALISATION OF BANKS
Liquidity
Profitability
III SECURITIES AND MONEY MARKET
International financial markets
Money market
Stock market
PROGRESS OF THE GLOBAL LIQUIDITY AND CREDIT CRISIS
IV OTHER FINANCIAL MARKETS
Investment funds
Insurance
V PAYMENT AND SETTLEMENT SYSTEMS
Interbank payment and settlement system
Overseer's assessment of payment and settlement systems

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