Cyclical and structural challenges remain
The major sources of market risk include the uncertain global economic outlook and volatile commodity prices
A U.K. vote to leave the EU could fuel support for anti-EU parties elsewhere
Survey of economists predicts lower growth and inflation
Less favourable credit terms are being reported across the entire spectrum of securities financing and OTC derivatives transaction types
The tests will focus on the risk that European CCPs would face if multiple clearing houses defaulted and they suffered simultaneous market shocks
Deflation in the euro area ranks second
Regulators suggest steps banks can take to comply with AML requirements
Profitability, increasing interconnectedness of banks and non-bank firms and the growth of emerging markets are the top risks to Europe’s financial firms and markets
Opinion mixed on new bailout regime