Financial Stability Review
The Financial Stability Review contains the Deutsche Bundesbank’s insights and assessments of the stability of the financial system in Germany. Its main part begins by identifying the principal risks arising from the international and domestic economic and financial market setting. This is followed by a detailed analysis of the situation in the German banking and insurance industries as well as the financial infrastructure. The main part of the review is complemented by in-depth articles which examine specific current financial stability issues. In November 2005, the Financial Stability Review was published as a separate publication for the first time; the two previous reviews in December 2003 and October 2004 appeared as part of the Monthly Report.