Financial Stability Report

E17859

The Financial Stability Report is a periodic publication that assesses risks and vulnerabilities in the UK financial system and outlines measures to safeguard its stability.


Statements (48)
Predicate Object
instanceOf financial policy document
financial stability report
periodical publication
appliesToJurisdiction United Kingdom
country United Kingdom
describes resilience of the UK financial system
risks in the UK financial system
vulnerabilities in the UK financial system
frequency periodic
genre central bank publication
economic report
hasPart analysis of credit risks
analysis of liquidity risks
analysis of macroeconomic risks
analysis of market risks
assessment of banking sector resilience
policy recommendations for financial stability
hasVersion PDF edition
web edition
intendedAudience financial institutions
general public
market participants
policymakers
language English
locationOfPublication London
mainSubject UK financial system
financial stability
systemic risk
medium online publication
print
publisher Bank of England
publishingOrganization Bank of England
purpose to assess risks and vulnerabilities in the UK financial system
to inform policymakers and market participants about financial stability issues
to outline measures to safeguard financial stability
regulatoryDomain financial system oversight
macroprudential policy
supports financial stability policy
macroprudential decision-making
topic UK banking sector
corporate indebtedness
financial markets
financial regulation and supervision
global financial conditions
household indebtedness
non-bank financial institutions
stress testing of the financial system
usedBy Financial Policy Committee of the Bank of England

Referenced by (2)
Subject (surface form when different) Predicate
Bank of England
Financial Policy Committee
publishes

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