Published annually, the primary aim of the Macroprudential Report is to provide an account of the various macroprudential instruments used to minimise systemic risks explored and communicated by the Magyar Nemzeti Bank in its Financial Stability Reports. In addition, the Report sets out the impact mechanisms of, and the process of adjustment by market participants to, such risks. Consistent with the Bank’s Statute and its macroprudential strategy, the Report attempts to enhance the ability of industry participants and the wider public to track and understand the Bank’s macroprudential actions.


Published by the Magyar Nemzeti Bank
H-1013 Budapest, Krisztina Krt. 55.
Publisher in charge:  Eszter Hergár
Editor: Tamás Nagy
ISSN 2498-9371 (print)
ISSN 2498-9363 (on-line)