Other publications

Financial and Risk Policy 2020

Publication 19 May 2020 Report – Other

The policy brings together rules, frameworks and target values for managing risks that arise in the operations of the Debt Office. It also specifies certain principles for the conduct of operations. The annual review, reconsideration and adoption of this policy establish a process that ensures the policy remains up-to-date and relevant.

Adopted by the Board of the Swedish National Debt Office on 11 December 2019, Reg. No. 2019/1010. Changed by the Board of the Swedish National Debt Office on 13 May 2020.

Financial and Risk Policy 2020

The Financial and Risk Policy supports the Debt Office’s risk management and its internal control. The policy provides an overview of the agency’s management of risks and the level of risk selected.

Financial crisis management

Publication 11 June 2018 Financial stability, Report – Other

Swedish banking requirements for financial stability should be safeguarded

Uncategorized 2 May 2017 Rapport – Övriga, Publikation, Financial stability

The design of the Swedish regulations for capital adequacy and crisis management is appropriate for reducing the risk of financial crises and ensuring effective management if a crisis were still to occur. This is the conclusion reached by Finansinspektionen (FI) and the Swedish National Debt Office...