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The U.K. financial sector is globally systemic, open, and complex. It has weathered the COVID-19 pandemic fittingly, thanks to the post-GFC reforms, a proactive macroprudential stance, and an effective multipronged response to maintain financial stability. Brexit uncertainties are being handled...
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, but domestic and external downside risks remain substantial-with potential implications for asset quality, profitability …
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The Norwegian insurance sector is well-capitalized. In recent years, the authorities have taken steps to recapitalize weak insurers and to boost capital for the overall industry. Risk-resilience has been strengthened by stronger retention of profits leading to accumulation of reserves, better...
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This 2020 Article IV Consultation focuses on Nepal's near and medium-term challenges and policy priorities and was …, commodity and financial markets. During recent years, strong growth in Nepal has been supported by greater political stability …
Persistent link: https://www.econbiz.de/10012249351
This 2017 Article IV Consultation highlights the rebound of Nepal's economy following a slowdown caused by the 2015 …
Persistent link: https://www.econbiz.de/10011691290