News in Systemic Risk: Monday, January 23, 2017 (10 a.m. ET)
Asset managers to face tougher systemic risk tests - Europe’s main markets regulator head says there will be increased scrutiny for sector (Financial Times)
Paschi Model a No-Go in Denmark as Bail-In Orthodoxy Reasserted (Bloomberg)
Bond Buyers Grab Disappearing Bank Debt Ahead of Canada Bail-In (Bloomberg)
The Rising Risk of Central Bank Instability (Bloomberg)
Trump Moving to Fill Blanks in Financial and Economic Rosters - David Nason emerges as front-runner for top bank oversight job at Fed (WSJ)
Sam Woods: Fixing our crippled financial sector, the Bank of England watchdog who cut his teeth on crisis (Evening Standard)
The tip of the iceberg: the implications of climate change on financial markets (Bank of England Bank Underground blog)
BIS: BIS international banking statistics at end-September 2016
Systemic Risk Centre: Monetary Easing and Financial Instability
Taming macroeconomic instability: Monetary and macro-prudential policy interactions in an agent-based model (Journal of Economic Behavior & Organization)