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6. Profitability and Solvency
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Table of contents
1. Interlinkages and composite measures of systemic risk
2. Macro risk
3. Credit risk
4. Funding & Liquidity
5. Market risk
6. Profitability and Solvency
6.1 Banking groups' profitability indicators
Data
6.2 Banking groups' solvency, liquidity and balance sheet structure indicators
Data
6.3 Insurance groups' profitability indicators
Data
Insurance groups' 6.4 Solvency indicators 6.5 Quality of own funds
Data
7. Structural risk
8. Risk related to central counterparties
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