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dc.contributor.authorEstrada, Ángel
dc.coverage.spatialEspaña
dc.date.accessioned2022-05-30T07:31:38Z
dc.date.available2022-05-30T07:31:38Z
dc.date.issued2022-05-24
dc.identifier.urihttps://repositorio.bde.es/handle/123456789/21142
dc.descriptionEvento: 13th Spanish Capital Markets Conference. Organizado por: AFME y AEB
dc.description.abstractThis new shock to the Spanish economy comes amid a gradual recovery, which remained incomplete, uneven across sectors and influenced by the course of the pandemic and continuous upside inflation surprises since mid 2021. In this environment, banks should remain cautious and the supervisors closely monitor any potential materialisation of the identified risks, in order to taken action to mitigate them.
dc.format.extent13 p.
dc.language.isoen
dc.publisherBanco de España
dc.rightsReconocimiento-NoComercial-CompartirIgual 4.0 Internacional (CC BY-NC-SA 4.0)
dc.rightsIn Copyright - Non Commercial Use Permitted
dc.rights.urihttps://creativecommons.org/licenses/by-nc-sa/4.0/deed.es_ES
dc.rights.urihttp://rightsstatements.org/vocab/InC-NC/1.0/
dc.subjectEstabilidad financiera
dc.subjectPandemia
dc.subjectInflación
dc.subjectRiesgos
dc.subjectAEB
dc.subjectDirector General de Estabilidad Financiera, Regulación y Resolución
dc.titleShort and medium term risks for the Spanish financial sector
dc.typePresentación
dc.publisher.bdeMadrid : Banco de España, 2022
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