The publication Macroprudential Diagnostics covers summarised results of regular analyses of systemic vulnerabilities and risks which could jeopardise the stability of the domestic financial system. The aim of the publication is to inform the public of the most recent and most important developments affecting the financial stability of the Republic of Croatia.
Analyses included in the publication are prepared on the basis of data at the end of the quarter covered by the report, which should result in more up-to-date analyses and earlier warnings regarding systemic vulnerabilities and risks.
In addition, the publication serves as a channel for regular public informing on macroprudential activities and measures performed in Croatia and peer countries and the activities related to the European Systemic Risk Board (ESRB). The publication may also include short analyses and boxes where selected current topics are examined.
The publication is released three times a year (in the first, third and fourth quarter), and was published for the first time in February 2017. Since the first publishing of Macroprudential Diagnostics in 2017, the publication Financial Stability has been published only once a year, in the second quarter.