Bank of Finland Bulletin 2 • 2015
Publication date 4 June 2015 (Finnish version has been published on 21 May 2015)
The Bank of Finland Bulletin is published five times a year.
Bank of Finland Financial Stability Report
One of the Bank of Finland’s core tasks is to contribute to the reliable, efficient and stable functioning of the financial markets. The Bank conducts regular analyses of the vulnerabilities and risks related to the financial system that could trigger or exacerbate economic disruptions. These are not forecasts, but analyses of potential financial market developments.
The financial stability analysis published on the Bank of Finland website is intended for financial market participants, other authorities and the general public to provide information and promote discussion on financial stability. The objective is to ensure that these parties take the current condition of and future outlook for the financial system into consideration in their operations. In addition to the stability analysis, the publication features articles of topical interest. The information presented in this report is based on the data available on 8 May 2015.
Hellström, Jenni, chairman
Uusitalo, Petri, secretary
Graphs and data
Translated and edited
by the Bank of Finland Language Services and Communications
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The contents of the Bulletin may be freely quoted, but due acknowledgement is requested.
ISSN 1456-5870 (online)
Bank of Finland
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