Final Minutes MB conference call on 24 September 2025

European Banking Authority (EBA) Management Board minutes from September 2025 outlining the selection procedure for the next EBA Chairperson, including timeline, candidate shortlisting, and process adaptations. Also covers 2025 work programme execution, budget updates (DORA fees, pension contributions), IT strategy, and sustainability efforts.

Organisational chart 16 Dec 2025

EBA organisational chart as of 16 December 2025 – outlines leadership structure, key departments (Prudential Regulation, Innovation, Risk Analysis, ESG Risks, Digital Finance), and team responsibilities under Chairperson José Manuel Campa.

2025 11 30 PMR -2025 Francois-Louis Michaud

EBA Executive Director François-Louis Michaud’s November 2025 meeting register covering discussions with major banks and stakeholders on EU regulatory frameworks, internal model regulation, operational risk, and IT strategy trends.

RAR Autumn 2025 - Press release charts

EBA’s Autumn 2025 Risk Assessment Report charts highlight EU/EEA banks’ rising exposure to geopolitical risks, volatile funding markets, and sovereign debt, alongside increased lending to non-bank financial institutions and project financing, particularly in defence and infrastructure.

RAR Autumn 2025 presentation

EBA Autumn 2025 Risk Assessment Report – presents key findings on EU/EEA banks' strong capital and profitability amid geopolitical uncertainty, operational risks, liquidity challenges, and asset quality trends, with insights on DORA, sovereign exposures, and macroeconomic volatility.

Public Hearing_CP on draft revised SREP GL

European Banking Authority public hearing on draft revised Guidelines for Supervisory Review and Evaluation Process (SREP) and supervisory stress testing, covering key changes, regulatory updates, and next steps for consultation ending December 2025.

Risk Assessment Report Autumn 2025

European Banking Authority (EBA) Autumn 2025 Risk Assessment Report – analyses key risks and vulnerabilities in the EU/EEA banking sector, covering macroeconomic trends, asset quality, liquidity, capital, profitability, operational resilience, geopolitical threats, and retail risks with mitigation measures.