News in Systemic Risk: Monday, August 7, 2017 (10 a.m. ET)
Regulatory Incentives and Quarter-End Dynamics in the Repo Market (New York Fed)
Long-Term Issues for Central Banks (BIS)
The FinTech Opportunity (BIS)
Regulators’ Penalties Against Wall Street Are Down Sharply in 2017 (WSJ)
China’s Bank Regulator Lets Crackdown Deadline Slip Over Stability Worries: Sources (Reuters)
Lessons for the Eurozone from Greece’s Painful Crisis Years (FT)
The Warnings from History that Wall Street Ignored (FT)
Bankers’ Pay Closely Tied to Deregulation (FT)
U.S. Haul from Credit Crisis Bank Fines Hits $150bn (FT)
Trillions in Stock and Derivatives Trades at Risk Over New EU Rules (Bloomberg)
Greek GDP Stats Gaps Prompt Suspension of Flash Data (Reuters)
The US Banking System: Origin, Development, and Regulation (Gilder Lehrman Institute)