Financial Stability Review
The Financial Stability Review provides an overview of potential risks to financial stability in the euro area. It aims to promote awareness in the financial industry and among the public of euro area financial stability issues. It is published twice a year, with the next release provisionally set for 14 May 2025.
For the media
Financial stability vulnerabilities remain elevated in the euro area, as heightened geopolitical risks pose considerable uncertainty.
Read the press releasePresentation slides
View the key messages and findings as presented by Vice‑President Luis de Guindos in the press conference marking the latest release.
See the slidesThe ECB Podcast: Financial stability in uncertain times
How worried should Europe be about financial stability at a time of geopolitical and policy uncertainty and rising global trade tensions? As we mark the 20th anniversary of our Financial Stability Review, our host Paul Gordon discusses the risks with expert John Fell.
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Macroprudential policies
The Macroprudential Bulletin provides insight into our work in the field of macroprudential policy. The aim of the Macroprudential Bulletin is to raise awareness of macroprudential policy issues in the euro area and to foster broader discussion on key macroprudential issues.
Macroprudential Bulletin