Ucraina
THE FINANCIAL SECTOR REMAINS RESILIENT TO MAJOR CHALLENGES— SYSTEMIC RISK SURVEY
Ukraine’s financial sector remains broadly resilient to significant challenges, though downside risks have increased, according to the National Bank of Ukraine’s Systemic Risk Survey for November 2025. Most executives reported no major changes in the sector’s condition over the past six months and do not expect significant shifts ahead. However, the share of respondents expecting a deterioration doubled from 15% in May to 32% in November.Overall risk levels are assessed as moderately high, while the sector’s resilience to major adverse shocks is rated as medium to high. For the first time since 2022, some respondents described resilience as very low. The war with Russia remains the primary systemic risk, followed by rising corruption risks and concerns related to law enforcement and the judicial system. More than 60% of financial institutions reported an unchanged risk appetite, while around a quarter indicated a higher willingness to take risks.https://bank.gov.ua/ua/news/all/finansoviy-sektor-zalishayetsya-stiykim-do-znachnih-viklikiv--opituvannya-pro-sistemni-riziki# (ICE KIEV)
Fonte notizia: National Bank of Ukraine
