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Table Of Contents

Assessment of financial stability and risk outlook
Financial institutions’ economic environment
2.1. Macroeconomic develop- ments
2.2. Developments in financial markets
2.2.1. Global markets
2.2.2. Money market
2.2.3. Bond market
2.2.4. Foreign exchange market
2.2.5. Equity market
2.3. Property market
Banking sector stability
3.1. Earnings
3.2. Lending
3.3. Credit risk
3.3.1. Banks’ credit risk premium and cost
3.3.2. Credit risk of corporate loans
3.3.3. Credit risk of the portfolio of loans to households
3.4. Market risk
3.5. Liquidity risk
3.5.1. Funding liquidity
3.5.2. Short-term liquidity
3.6. Banks’ capital position and loss absorption capacity
3.7. Market assessment of Pol- ish banks and their parent entities
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Financial Stability Report 2010 07 En

Financial Stability Report 2010 07 En

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Published by Marta Rosłonek

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Published by: Marta Rosłonek on Nov 05, 2010
Copyright:Attribution Non-commercial

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11/05/2011

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