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18.05.2009 Print page

Risk Outlook Reports

Since 1994 Finanstilsynet has systematically analysed and assessed potential stability problems in the Norwegian financial market against the background of developments in the Norwegian and international economy. This is a necessary supplement to Finanstilsynet’s ongoing supervision of individual institutions. Much of the assessment of individual institutions’ profitability and financial strength needs to be carried out in light of the general state of the financial market.

As from 2003 Finanstilsynet has given its view of the state of the financial market in its Risk Outlook report.

The report summarises financial institutions’ results for the previous year in the light of general developments in the international and Norwegian economy, and assesses risks facing banks and other institutions in the financial market.

Summary: Financial trends 2012
Risk Outlook 2012: The Financial Market in Norway (pdf)
Risk Outlook 2011: The Financial Market in Norway (pdf)
The Financial Market in Norway 2009: Risk Outlook (pdf)
The Financial Market in Norway 2008: Risk Outlook (pdf)
The Financial Market in Norway 2007: Risk Outlook (pdf)
The Financial Market in Norway 2006: Risk Outlook (pdf)
The Financial Market in Norway 2005: Risk Outlook (pdf)
The Financial Market in Norway 2004: Risk Outlook (pdf)
The Financial Market in Norway 2003: Risk Outlook (pdf) – Annex (pdf)
The Financial Market in Norway 2002: Risk Outlook (pdf)

 

Printed Risk Outlook Reports

Printed copies of Finanstilsynet's Risk Outlook Reports may be obtained by
e-mailing a request containing your postal address.