Financial Stability and Statistics Department

E752151

The Financial Stability and Statistics Department is a unit of the Bank of Finland responsible for monitoring financial system risks and producing key economic and financial statistics to support monetary and macroprudential policy.

Try in SPARQL Jump to: Surface forms Statements Referenced by

All labels observed (1)

Label Occurrences
Financial Stability and Statistics Department canonical 1

Statements (30)

Predicate Object
instanceOf department
organizational unit
country Finland
employer Bank of Finland NERFINISHED
field economic statistics
financial stability
financial statistics
macroprudential policy
monetary policy
focusesOn banking sector risks
financial market developments
macro-financial linkages
systemic risk in the financial system
hasRole data collection for economic statistics
data compilation for financial statistics
risk analysis in the financial system
supporting financial stability policy
supporting macroprudential supervision
locatedInOrganization Head Office of the Bank of Finland NERFINISHED
partOf Bank of Finland NERFINISHED
purpose support macroprudential policy decision-making
support monetary policy decision-making
responsibleFor monitoring financial system risks
producing key economic statistics
producing key financial statistics
sector central banking
typeOfOrganization public sector department
usesFor financial stability assessments
macroprudential policy calibration
policy analysis

Referenced by (1)

Full triples — surface form annotated when it differs from this entity's canonical label.

Bank of Finland hasSubdivision Financial Stability and Statistics Department