News in Systemic Risk: Monday, December 14, 2020 (10 a.m. ET) December 14, 2020 Dealing with bank distress: Insights from a comprehensive database (Konrad Adler, Frederic Boissay; Bank for International Settlements) Update on the Joint IMF-WB Multipronged Approach to Address Debt Vulnerabilities (International Monetary Fund) Do municipal bond exchange-traded funds improve market quality? (Justin Marlowe; Brookings Institution) Zombies at Large? Corporate Debt Overhang and the Macroeconomy (Òscar Jordà, Martin Kornejew, Moritz Schularick, Alan M. Taylor; Federal Reserve Bank of New York) Making sense of banks’ climate targets (The Economist) New Isda ‘fallbacks’ critical to making Libor transition a ‘non-event’ (Richard Heckinger; Central Banking)