Spain | Geopolitical risk as the leading threat to financial stability
Published on Tuesday, November 19, 2024 | Rectified on Monday, January 27, 2025 | Updated on Monday, January 27, 2025
Spain | Geopolitical risk as the leading threat to financial stability
Summary
A few days ago, Bank of Spain released its Financial Stability Report, one of its top publications. Coincidentally, this report came out on the same day Americans elected their new president.
Key points
- Key points:
- The report noted that the outcome of the U.S. elections would be one of the most impactful geopolitical events in the coming months. It cautioned that a Trump victory, along with his unpredictable policies, could trigger a rise in geopolitical tensions worldwide.
- These potential risks, which may spur economic and financial instability, also include elections in other strategic regions for Europe and Spain, ongoing conflicts in Ukraine and the Middle East, trade disputes with China, and cyber threats.
- Another significant risk highlighted in the report is the potential for an abrupt correction in financial markets, particularly within some high-risk assets that are currently valued at record levels.
- Meanwhile, concerns related to slower economic growth and high inflation have subsided: the Spanish economy has grown above its European peers in recent quarters.
- Regarding vulnerabilities, there is good news: Spain's private sector shows resilience; household disposable income has risen, companies have reported strong financial results, with increased profits; and Spain's financial sector remains buoyant and robust, supporting efficient financial intermediation
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Topics
- Topic Tags
- Banks
- Geostrategy
Authors
Miguel Cardoso
BBVA Research - Chief Economist
Jorge Sicilia
BBVA Research - Chief Economist of BBVA Group
Rafael Doménech
BBVA Research - Head of Economic Analysis
Sonsoles Castillo
BBVA Research - Chief Economist for Financial and Economic Analysis
Juan Manuel Ruiz
BBVA Research - Chief Economist for Latam
Joxe Mari Barrutiabengoa
BBVA Research - Economist
Noelia Cámara
BBVA Research - Principal Economist
Julián Cubero
BBVA Research - Lead Economist
Sumedh Deorukhkar
BBVA Research - Senior Economist
Enestor Dos Santos
BBVA Research - Principal Economist
Rodrigo Falbo
BBVA Research - Principal Economist
Agustín García
BBVA Research - Principal Economist
Olga Gouveia
BBVA Research - Lead Economist
Jose Felix Izquierdo
BBVA Research - Principal Economist
Miguel Jiménez
BBVA Research - Lead Economist
Virginia Marcos Herreros
BBVA Research - Principal Economist
María Martínez
BBVA Research - Principal Economist
Alejandro Neut
BBVA Research - Lead Economist
Cecilia Posadas
BBVA Research - Principal Economist
Tomasa Rodrigo
BBVA Research - Lead Economist
Alfonso Ugarte
BBVA Research - Principal Economist
Cristina Varela
BBVA Research - Principal Economist
Jaime Zurita
BBVA Research - Principal Economist
Brenda Castillo
BBVA Research - Economist
Adrián Santos
BBVA Research - Economist
Víctor Moreno Azofra
BBVA Research - Economist
Carlos Castellano
BBVA Research - Economist
David Sarasa
BBVA Research - Associate
Álvaro Ortiz
BBVA Research - Head of Analysis with Big Data
Key results
Financial regulation
subtitulo ing
![Financial regulation](https://js2xjvrn.openweb.bbva/wp-content/uploads/2024/02/regulacion-financiera-bbvaresearch.png)
Source: fuente ing
Documents and files
![Titulo esp2](https://js2xjvrn.openweb.bbva/wp-content/uploads/image-gallery/BBVA-TNFD-int1.webp)
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History of rectifications
Monday, January 27, 2025
We are talking about January 2025, not January 2024.