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 31 May 2023.
For the media
Current developments are increasing the vulnerability of firms, households and governments with more debt, and are a potential source of stress in financial markets and investment funds.Read the press release of 16 November 2022
View the key messages and findings as presented by Vice-President Luis de Guindos in the press conference marking the latest release.See the slides of 16 November 2022
The ECB Podcast - Is financial stability at risk?
How is financial stability faring in today's challenging environment? What risks do we see for financial markets and the real estate sector?Listen to the podcast
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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