Financial Market Risk & Liquidity Survey Report (H1 2026).

Financial Market Risk & Liquidity Survey Report (H1 2026).

This report presents insights from financial market practitioners across commercial and merchant banks, capturing expectations on liquidity conditions, market risks, and the outlook for the next six months.

The findings indicate that while liquidity conditions remain broadly adequate, market expectations are gradually shifting toward tighter conditions, with interest rate volatility, regulatory uncertainty, and FX pressures identified as key risks. Despite these challenges, overall market confidence remains resilient.

We trust that this report will provide useful perspectives for market participants, policymakers, and stakeholders in navigating the evolving financial landscape.

Kindly click here to read the full report.

Similar Posts