Financial stability and macro-prudential policies

Published on the 16th of January 2025

Séminaire
04 June 2025 - 10:30

This seminar aims to deepen understanding of key issues and recent developments in the financial stability functions of central banks.

 

Apply

Dates: June 4-6, 2025
Application deadline: April 04, 2025
Language: English 
Location: Paris
Contact: Hedi JEDDI
E-mail: IBFI_supervision@banque-france.fr

Content

The seminar will present early warning indicators for systemic risk, countercyclical buffer calibration, macro-prudential stress tests, foreign exchange and real estate credit risk monitoring and the macro-prudential instruments used to manage them.  Theoretical presentations will be accompanied by practical workshops, during which participants will use Excel to analyze the implementation of macro-prudential instruments. Participants will also be able to share their national experiences.

The seminar will cover the following topics:
•    Early warning indicators 
•    Macro-prudential stress tests
•    Countercyclic buffer calibration 
•    Foreign exchange risk monitoring and macro-prudential instruments to manage it
•    Monitoring real estate credit risk and macro-prudential instruments to control it 

Participants

Executives in charge of financial stability, regulation and supervision at central banks, finance ministries and supervisory authorities.

Updated on the 16th of January 2025