Analytical Data of the Slovak Financial Sector

Analytical data of the Slovak financial sector are avaliable on quarterly basis for individual segments of the financial markets. These data refer to structure of assets, liabilities, assets under management and profitability and other ratios that can be used as financial stability indicators or indicators for the purposes of macroprudential policy. Together with the values of these indicators, the conccentration ratios or their distribution for individual institutions across individual sectors of the financial markets are also provided.

2011 I. Q [.xls, 153 kB]
Published: 9.6.2011
Last update: 28.2.2012
II. Q [.xls, 217 kB]
Published: 4.10.2011
Last update: 28.2.2012
III. Q [.xls, 223 kB]
Published: 30.11.2011
Last update: 28.2.2012
IV. Q [.xls, 211.5 kB]
Published: 17.4.2012
Last update: 17.4.2012
2010 I. Q [.xls, 133.5 kB]
Published: 16.6.2010
Last update: 13.12.2010
II. Q [.xls, 133.5 kB]
Published: 21.10.2010
Last update: 13.12.2010
III. Q [.xls, 116.5 kB]
Published: 8.12.2010
Last update: 13.12.2010
IV. Q [.xls, 134.5 kB]
Published: 18.4.2011
Last update: 18.5.2011
2009 I. Q [.xls, 132.5 kB] II. Q [.xls, 157.5 kB] III. Q [.xls, 130 kB] IV. Q [.xls, 127.5 kB]
2008 I. Q [.xls, 154 kB] II. Q [.xls, 141.5 kB] III. Q [.xls, 161.5 kB] IV. Q [.xls, 149.5 kB]
2007 I. Q [.xls, 155.5 kB] II. Q [.xls, 152 kB] III. Q [.xls, 156 kB] IV. Q [.xls, 158 kB]
2006 I. Q [.xls, 141 kB] II. Q [.xls, 135.5 kB] III. Q [.xls, 156 kB] IV. Q [.xls, 151 kB]
2005 I. Q II. Q III. Q IV. Q [.xls, 119.5 kB]

Analytical Data Methodology [.pdf, 116.8 kB]

Analytical data methodology - update: December 2010.pdf [.pdf, 53.7 kB]

 

Update: April 17, 2012