Analysis of the Slovak Financial Sector

Analysis of the Slovak Financial Sector

The objective of this analysis is to review the current trends and risks in the financial sector. The aim of this report is to assess whether the financial sector as a whole can be considered as stabilized. The Analysis of the Slovak Financial Sector has been published on annual basis since 2014.

  Midyear (.pdf) End of year (.pdf) Midyear (.ePub) End of year (.ePub)
2016

––

Analysis

Annex
Published: 17.5.2017

––

ePUB Analysis
2015

––

Analysis
Published: 4.5.2016

––

ePUB Analysis
2014

––

Analysis
Published: 27.5.2015

––

ePUB Analysis
2013

Analysis

Published: 14.11.2013

Analysis
Published: 15.5.2014
ePUB Analysis ePUB Analysis
2012

Analysis
Published: 30.11.2012

Analysis
Published: 28.5.2013
ePUB Analysis ePUB Analysis
2011

Analysis
Published: 22.11.2011

Analysis

Annex
Published: 1.6.2012

ePUB Analysis ePUB Analysis
2010

Analysis

Annex

Published: 4.11.2010

Analysis
Published: 13.6.2011
ePUB Analysis ePUB Analysis
2009 Analysis Analysis ePUB Analysis ePUB Analysis
2008 Analysis Analysis
2007 Analysis Analysis
2006 Analysis Analysis
2005 Analysis Analysis
2004

––

Analysis

 

Macroprudential Analysis of the Banking Sector

The objective of the macroprudential analysis of the banking sector is to provide a comprehensive overview on the development in the banking sector from the perspective of the changes in risks and trends. The analysis assesses the risks in banks from the view of the developments in the external environment and in the real economy, respectively. In addition, trends within the banking sector itself are considered as well. Due to the narrow relationship between developments in banks and trends in the real economy, the objective of this analysis is an early identification of any possible imbalances in the banking sector. The analysis had been elaborated and published in the years 2009-2012 and the last version of analysis was the September 2012 version, published by the end of 2012. Since 2013, topics that were previously discussed in the Macroprudential Analysis of the Banking Sector have been incorporated into the Financial Stability Report, which has been published by Národná banka Slovenska on its website.

 

  March: September:
2012

Analysis [.pdf, 1164.7 kB]

Published: 2.4.2013

Analysis [.pdf, 1693.5 kB]
Published: 29.1.2013
2011

Analysis [.pdf, 962.7 kB]

Published: 2.4.2013

Analysis [.pdf, 786.5 kB]

Published: 2.4.2013

2010   Analysis [.pdf, 866.2 kB]
Published: 2.2.2011
2009    Analysis [.pdf, 545.7 kB]
Published: 17.12.2009
(in Slovak language only)

 

Other analyses of the Slovak financial sector

 An analysis of how the introduction of the euro will impact the Slovak financial market [.pdf, 156.9 kB]