Financial Stability Special Report (available since 2013)

Last modified
Thursday the 4th of June, 2026

The Financial Stability Special Reports accompany the publication of the Financial Stability Report and provide a more detailed analysis of some aspects and risks relevant to the stability of the Colombian financial system, including market liquidity risk, market risk, credit risk, financial burden, loan portfolio and housing market in Colombia, international indicators, concentration and competition in deposit and credit markets, corporate sector surveys, and financial inclusion.