You are here

Assessment of risks to the French financial system

The Assessment of Risks to the French Financial System appears twice yearly, in June and December. It is published as part of the Banque de France's mission to safeguard financial stability, entrusted to it under the Law of 26 July 2013 on the separation and regulation of banking activities, and conducted in conjunction with the Haut Conseil de Stabilité Financière (High Council for Financial Stability). The report seeks to identify the risks and vulnerabilities in the French financial system, along with its strengths and sources of resilience.

December

Publication Assessment of Risks to the French Financial System
Assessment of risks to the French financial system - December 2020
  • Published on 12/31/2020
  • 74 pages
  • EN
  • PDF (2.71 MB)

June

Publication Assessment of Risks to the French Financial System
Assessment of risks to the French financial system - June 2020
  • Published on 06/23/2020
  • 49 pages
  • EN
  • PDF (2.18 MB)