Finanstilsynet analyses and assesses potential stability problems in the Norwegian financial market against the background of developments in the Norwegian and international economies. This is a necessary supplement to Finanstilsynet’s ongoing supervision of individual institutions.
Publicly available analyses produced by Finanstilsynet include:
- The Risk Outlook Report summarises financial institutions' results for the previous year in the light of general developments in the international and Norwegian economy, and assess risks facing banks and other institutions in the financial market.
- Finanstilsynet publishes quarterly aggregated financial results (in Norwegian only).