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CNB > Financial stability > Risks to financial stability and their indicators

Risks to financial stability and their indicators

The main CNB’s publication in the area of financial stability and macroprudential policy is the Financial Stability Report. It is the key document for the regular spring Bank Board meeting on financial stability issues that is published every June. For the regular autumn meeting, our experts draw up an unpublished update of the Financial Stability Report. Given the increasing public interest in our macroprudential policy decisions, the Bank Board have decided to publish the document Risks to financial stability and their indicators, which is based on this update, on the CNB website every year beginning 2018.

2018