News in Systemic Risk: Friday, October 30, 2020 (10 a.m. ET) October 30, 2020 Financial Stability Report - Autumn 2020 (Banco de España) Non-US global banks and dollar (co-)dependence: how housing markets became internationally synchronized (Torsten Ehlers, Mathias Hoffmann, Alexander Raabe; Bank of International Settlements) Macro-financial crises: Impeding the rush for the exit (Patrick Honohan; VoxEU) Hutchins Roundup: Business closures, inflation, and more (Sophia Campbell, Lorena Hernandez Barcena, Louise Sheiner; Brookings Institution) Emerging markets’ experiments with QE have not turned out too badly (The Economist) Related Stories Yale Program on Financial Stability Presents Financial Crisis-Fighting Playbook June 24, 2025 Master’s Degree in Systemic Risk Fed Official Michael Barr Provides an Inside Look at Crisis Response February 26, 2025 Program on Financial Stability High School Students Visit Yale SOM for Introduction to Careers in Business and Economics August 20, 2024 Program on Financial Stability
Yale Program on Financial Stability Presents Financial Crisis-Fighting Playbook June 24, 2025 Master’s Degree in Systemic Risk
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