摘要:By publishing the Financial Stability
Review, the Bank of Lithuania aims to review
the development of the financial system
of Lithuania and evaluate its capacity to
operate
in less favourable conditions of the
macroeconomic environment. Therefore,
the first part of the Review analyses macroeconomic
(external and internal) environment
changes. When reviewing the internal
environment, the main focus is given to the
financial state of the financial system debtors
¨C non-financial corporations and households.
The second
part analyses the financial
system. Given the fact that the banking system
remains the most important component
of the financial system, this part deals with
the banking system state only. The third part
presents the analysis of the banking system
ability to withstand critical unfavourable developments
of the national economy. The
description of the most important risk mitigating
instruments of the financial system
applied in 2006 and the beginning of 2007
finishes the Review.