Financial stability and macro-prudential policies

Published on 17th of March 2026

Séminaires
30 September 2026 - 11:30

This seminar aims to deepen understanding of key issues and recent developments in the financial stability functions of central banks.

Contents

The seminar will present early warning indicators for systemic risk, countercyclical buffer calibration, macro-prudential stress tests and real estate credit risk monitoring and the macro-prudential instruments used to manage them. Theoretical presentations will be accompanied by practical workshops, during which participants will simulate the implementation of macro-prudential instruments. Participants will also be able to share their national experiences.
The seminar will cover the following topics:
•    Early warning indicators 
•    Macro-prudential stress tests
•    Countercyclical buffer calibration 
•    Monitoring real estate credit risk and macro-prudential instruments to control it 

 

Participants

Executives in charge of financial stability, regulation and supervision at central banks, finance ministries and supervisory authorities.

Updated on the 17th of March 2026