The Financial Stability Report is the Bank’s main publication analysing the Italian financial sector. It provides information on the state of the financial system, set in the broader context of the world economy and international finance, and on the main domestic and external risk factors, assessing their possible impact. Topics of special interest are examined in greater depth in boxes within the main text.
From 2012 onwards the Bank of Italy's Financial Stability Report has been published twice yearly.
Publication dates in 2019: 3 May and 22 November.