Sisällysluettelo : Bank of Finland. Financial market report
Table of contents
(22.09.2005)
Numero
3
2005
Julkaisun pysyvä osoite on
https://urn.fi/URN:NBN:fi:bof-201408075151Tiivistelmä
1 Financial intermediation 3
1.1 Rapid growth in non-financial corporations' stock of bank credit 3
2 Banks and insurance corporations 5
2.1 Banks' cost-efficiency improved 5
2.2 Positive financial performance in the international banking sector 7
2.3 Good performance and solid capital adequacy on average in the insurance sector 10
2.4 Distance-to-default indicator applied to Finnish banks 12
3 Securities markets 14
3.1 Stock markets recovered after a sluggish performance in early 2005 14
3.2 Bond markets 15 3.3 New sector indices launched on the Helsinki Stock Exchange 17
4 Infrastructure 18
4.1 McCreevy: Next six months crucial for integration 18
4.2 Challenges for EU payment system initiatives 20
4.3 ECB calls for cost recovery 22
5 Developments in regulation and supervision 23
6 Key corporate arrangements and events in the financial sector 26
1.1 Rapid growth in non-financial corporations' stock of bank credit 3
2 Banks and insurance corporations 5
2.1 Banks' cost-efficiency improved 5
2.2 Positive financial performance in the international banking sector 7
2.3 Good performance and solid capital adequacy on average in the insurance sector 10
2.4 Distance-to-default indicator applied to Finnish banks 12
3 Securities markets 14
3.1 Stock markets recovered after a sluggish performance in early 2005 14
3.2 Bond markets 15 3.3 New sector indices launched on the Helsinki Stock Exchange 17
4 Infrastructure 18
4.1 McCreevy: Next six months crucial for integration 18
4.2 Challenges for EU payment system initiatives 20
4.3 ECB calls for cost recovery 22
5 Developments in regulation and supervision 23
6 Key corporate arrangements and events in the financial sector 26