Financial Stability Reports

The Financial Stability Report analyses important developments in the financial system and identifies the factors that represent a systemic risk. This report identifies and assesses risks faced by the financial system and its infrastructure, to give public authorities the opportunity to identify the necessary corrective measures.

It is published once e year, in Albanian and English.

Financial Stability Report - 2019 H1

This is the twenty second issue of Bank of Albania’s Financial Stability Report, which is published half-yearly. The purpose of this Report is to identify and assess risks to the financial system and its infrastructure, in order to provide the public authorities with the possibility to identify the relevant measures for adjustments, as necessary. The Financial Stability Statement, whose half-yearly release is a legal requirement, prefaces the Report.

Financial Stability Reports over the years