News in Systemic Risk: Friday, December 15, 2017 (10 a.m. ET)
Financial Stability Oversight Council Releases Annual Report (U.S. Department of the Treasury)
Can Macroprudential Measures Make Cross-Border Lending More Resilient? (Előd Takáts, Judit Temesvary; BIS)
Sovereign Risk and Bank Risk-Taking (Anil Ari; IMF)
Crisis and Reform: The 1893 Demise of Banca Romana (Marco Pani; IMF)
Hedge Funds and Their Prime Brokers: Developments Since the Financial Crisis (Frank Kenny, David Mallaburn; Bank of England)
Singapore: Banking on the Future (IMF)
International Commodity Prices and Domestic Bank Lending in Developing Countries (Nisha Agrawal, Rupa Duttagupta, Andrea Presbitero; IMF)
Statistics on Payment, Clearing and Settlement Systems in the CPMI Countries (BIS)
U.S. Panel Urges Regulators to Monitor Financial Innovation Risks (Reuters)
Bitcoin Barely Rates a Mention Among Top Risks to Financial System (Bloomberg)
EU Set to Focus on Banking Union, Bailout Fund in Euro Zone Overhaul (Reuters)
BIS’s Leaning Against the Wind View Critiqued by One of Its Own (Bloomberg)
ECB Changes Collateral Rules for Unsecured Bank Bonds (FT)
London-Based Investment Banks to Face Closer EU Scrutiny – Documents (Reuters)