RBI Financial Stability Report (FSR) – December 2025
The December 2025 Financial Stability Report (FSR) presents a cautiously optimistic assessment of India’s financial system amid a volatile and uncertain global environment. While global macro-financial risks remain elevated due to geopolitical tensions, trade fragmentation, stretched asset valuations and rising public debt, India stands out as a relative anchor of stability, supported by strong domestic demand, improving balance sheets and prudent regulation. High global growth masks vulnerabilities Globally, growth has surprised on the upside in 2025, aided by front-loaded trade, fiscal support and unprecedented investment in artificial intelligence (AI). However, the RBI flags that this apparent resilience masks deeper vulnerabilities. Equity valuations, particularly in AI-linked stocks, are stretched, hedge fund leverage is rising, private credit markets are expanding rapidly with limited transparency, and stablecoins are becoming more systemically relevant. The disconnec...