Ucraina
UKRAINE’S FINANCIAL SECTOR MAINTAINS HIGH RESILIENCE AMID WARTIME CHALLENGES
Ukraine’s financial sector remains resilient despite significant challenges, according to the May 2026 Systemic Risk Survey of executives from the country’s largest banks and non-bank financial institutions.For the eighth consecutive survey since November 2022, respondents rated the sector’s resilience as moderate or high, with confidence levels among the strongest recorded. Most participants assessed the current state of the sector as satisfactory or good, while nearly 88% expect conditions to remain unchanged over the next six months.Russia’s war against Ukraine continues to be viewed as the largest source of systemic risk. For the first time, however, fluctuations in global commodity prices ranked as the second most significant threat. Respondents also identified legislative and tax system quality among the key risks facing the sector.The survey further showed a slight increase in risk appetite among financial institutions, while the majority reported no change in their approach to risk-taking.https://bank.gov.ua/ua/news/all/finansoviy-sektor-zalishayetsya-stiykim-do-znachnih-negativnih-podiy--opituvannya-pro-sistemni-riziki# (ICE KIEV)
Fonte notizia: NBU bank.gov.ua
