In compliance with Section 33(2)(b) of the Bank of Mauritius Act 2004, the Bank is releasing today the February 2015 issue of its Financial Stability Report. The Report reviews international and domestic macro-financial developments in the second semester of 2014 and examines potential risks to the stability of the financial system
Financial Stability Report - February 2015
Table of Contents
- Executive Summary
- Macroeconomic Environment
- Debt Indicators of Households and Corporations
- Banking Sector
- Non-Bank Financial Intermediaries
- Payment Systems Infrastructure
- Risk Analysis
- Concluding Remarks
Bank of Mauritius
04 March 2015