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Chart 18. Bank of Finland’s total risks, capital and reserves, excl. gold price risk and gold revaluation accounts
This infographic shows the Bank of Finland’s total risks, capital and reserves, excl. gold price risk and gold revaluation accounts. The market and credit risk is about EUR 3 billion. Capital is divided into three parts: disposable revaluation accounts, at about EUR 1 billion; disposable provisions, at nearly EUR 3 billion; and the primary capital and reserve fund, at almost EUR 3 billion. The Bank of Finland’s capital adequacy is sufficient to cover the risks arising from the performance of its tasks.