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Report of the National Bank of Kazakhstan on a comprehensive analysis and assessment of systemic risks and the main factors determining financial stability.

According to task of promoting stability of the financial system, the National Bank of Kazakhstan publishes periodically Financial Stability Report since 2006. The Report is an information and analytical publication of the National Bank of Kazakhstan, containing the results of the comprehensive analysis and assessment of the main risks and vulnerabilities of financial stability.

The Report publishes the results of regular analysis of external and macroeconomic factors, including structural factors affecting stability of the financial system, highlights issues in financial regulation, the level of development of the business environment and the financial market.

The Report highlights the most substantial factors of vulnerability of the financial system, emphasis on and discussion of which should lead to the search for more effective risk management tools. In the context of Report, The National Bank of Kazakhstan sets a task to publish the results of researches and analysis of risks in the financial stability area. The Report focuses on financial market participants and on audience interested in a problematic of financial stability.

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