News in Systemic Risk: Friday, April 9, 2021 (10 a.m. ET) April 9, 2021 High-Yield bond markets during the COVID-19 crisis: the role of monetary policy (Dmitry Khametshin; Banco de España) Stablecoin Assessment Framework (Alejandro García, Bena Lands, Dennis Yanchus; Bank of Canada) Fed May Expand Access to Reverse Repo Facility (Michael S. Derby; Wall Street Journal) Inflation might be the way out of the debt crisis (Pascal Blanqué; Financial Times) ECB Steps Up Warnings to EU Not to Delay Joint Recovery Stimulus (Carolynn Look, Francine Lacqua; Bloomberg)