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 real economy and markets. Much of the assessment of individual institutions’ profitability, financial strength and risk needs to be carried out in light of the general state of the economy and markets.
The Annual Report covers Finanstilsynet's operations in the preceding year.
Risk and Vulnerability Analysis (RAV)
Financial institutions’ use of information and communications technology (ICT)