Financial stability reports

The CNB’s main publications in the area of financial stability and macroprudential policy are the spring and autumn editions of the Financial Stability Report. The Report is the key document for the Bank Board’s meetings on financial stability issues. The CNB has been publishing the spring publication since 2005, usually in June, and the autumn publication since 2018, usually in December (until 2021 with the title Risks to financial stability and their indicators).

The CNB submits the spring Financial Stability Report to the Chamber of Deputies for information, in accordance with the legal duty set out in an amendment to Act No. 6/1993 Coll., on the Czech National Bank.

A range of indicators provide the basis for the preparation of Financial Stability Reports and for decision-making on financial stability issues. A selection of key indicators is available below, with data from 2018 onwards. Older values can be found in the relevant Financial Stability Reports.