The ESRB Annual Report provides the public with an overview of systemic risk analysis, policy measures to address these risks and compliance with its recommendations. It is usually published in July as part of the ESRB’s accountability obligations.
The ESRB publishes reports on potential systemic risks arising in the financial sectors.
The Advisory Scientific Committee contributes to the public debate on macroprudential policy by publishing reports.
The ESRB High-Level Task Force on Safe Assets investigated the feasibility of sovereign bond-backed securities. The outcome of this investigation is published in a report comprising two volumes.
The ESRB risk dashboard is a set of quantitative and qualitative indicators of systemic risk in the EU financial system. It is published quarterly, one week after its adoption by the General Board, and is accompanied by an overview note that explains the recent development of the indicators.
The ESRB publishes non-technical commentaries on selected topics related to macroprudential policy to inform the general public about issues that are relevant from a macroprudential perspective.
The ESRB Working Paper Series is run by the Advisory Scientific Committee. Its purpose is to collate high-quality research on systemic risk and macroprudential policy, thus informing the policymaking activities of the ESRB.
The ESRB Occasional Paper Series is an outlet for the publication of analytical and policy work that has been conducted within ESRB expert groups.
Big data on derivatives contracts are at our fingertips. If you are an experienced policy expert or academic researcher, apply to take part in the EMIR Bridge Programme for Data Science and help us make the most of this wealth of information.
Deadline for responses to our market survey: Monday, 23 April 2018, 23:59 CET