According to the Financial Stability Report December 2019 published by the National Bank of Romania, the aggregate level of systemic risks to financial stability in Romania is on the rise, similarly to global developments, and the outlook for the years ahead shows the furthering of this trend.
Continuă lectura „Financial Stability Report – December 2019”December Financial Stability Report
Financial stability has remained robust since the release of the previous Report (June 2018), and the main vulnerabilities have continued to be those stemming from external sources. The National Bank of Romania has further pursued a counter-cyclical policy conduct within its scope of activity, yet a balanced economic policy mix is called for in order to adequately manage the vulnerabilities with systemic potential and achieve sustainable economic growth according to the latest Financial Stability Report for December published by the National Bank of Romania on 10th of December 2018.