Financial Stability Review 2025
2026
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1) This review assesses the current and potential risks to Malaysia's financial stability and the resilience of its financial system in the second half of 2025.
2) * Analyzes key developments in market, credit, and operational risks.
* Evaluates the soundness and resilience of the banking, insurance, and takaful sectors.
* Presents results of macro solvency stress tests under adverse scenarios.
3) Financial Stability, Malaysia, Banking Sector, Insurance Sector, Risk Assessment
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