Yale School of Management

Program on Financial Stability

Improving our understanding and management of systemic risk.

News in Systemic Risk: Friday, May 15, 2020 (10 a.m. ET)

Covid-19 and regional employment in Europe (Sebastian Doerr, Leonardo Gambacorta; Bank of International Settlements)

Novel coronavirus (COVID-19) - economic and financial developments and the responses taken by the Bank of Japan (Haruhiko Kuroda; Bank of International Settlements)

The Commercial Paper Funding Facility (Nina Boyarchenko, Richard Crump, Anna Kovner; Federal Reserve Bank of New York)

The General Board of the European Systemic Risk Board takes first set of actions to address the coronavirus emergency at its extraordinary meeting on 6 May 2020 (European Systemic Risk Board)

Do non-performing loans matter for bank lending and the business cycle in euro area countries? (Ivan Huljak, Reiner Martin, Diego Moccero, Cosimo Pancaro; European Central Bank)

The interbank market puzzle (Franklin Allen, Giovanni Covi, Xian Gu, Oskar Kowalewski, Mattia Montagna; Bank of England)

Quality is our asset: the international transmission of liquidity regulation (Dennis Reinhardt, Stephen Reynolds, Rhiannon Sowerbutts, Carlos van Hombeeck; Bank of England)

How to fight an economic crisis in a monetary union (Phillip R. Lane; The Economist)

Systemic Risk News