The Risk Assessment Indicators (RAI) is a combined dataset from different data sources of the ECB. These indicators are used for the purposes of financial stability and are mostly part of the ESRB risk dashboard.
The RAI are calculated at the ECB based on different sets of statistics such as monetary and financial statistics or financial accounts. These sources comprise:
Euro area, although a more limited dataset is available for non-euro area Member States.
Data sources cover balance sheet items statistics for monetary financial institutions (MFIs) (S12K), and similar statistics for MMF and non-MMF investment funds (S124), insurance corporations (S128), pension funds (S128) and other financial institutions (OFIs) (S12O).
Monthly or quarterly
For information about the naming convention (series key dimensions and metadata), refer to the RAI underlying DSD (ECB_RAI1) maintained by the ECB.
RAI - Risk Assessment Indicators
SDW
Logical and plausibility checking.
Data is disseminated following the releases of the sourcing datasets.
Download the series catalogue containing a full list of series and associated metadata of the dataset RAI in CSV format (zipped)