The Macro-Financial Review provides an overview of macro-financial risks and conditions in Ireland and forms part of the Central Bank's internal discussions on financial stability. Monitoring financial-sector risk is an important task for the financial policymaker and contributes to the formulation and adaptation of policies to mitigate such risks. The Review is published to help financial-market participants, other authorities and the public evaluate financial risks.
Macro Financial Review H1 2016
Read more about the Macro Financial Review H1 2016, including presentation slides and the opening statement from our Deputy Governor (Central Banking) on our dedicated landing page.
Financial Stability Reports were published from 2004 to 2007 and can be viewed here.
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