News in Systemic Risk: Monday, March 8, 2021 (10 a.m. ET) March 8, 2021 Turkey: macro-financial situation (Juan Carlos Berganza, Paula Sánchez Pastor, Begoña Lara; Banco de España) Climate Policy, Financial Frictions, and Transition Risk (Stefano Carattini, Garth Heutel, Givi Melkadze; National Bureau of Economic Research) Monetary policy surprises and their transmission through term premia and expected interest rates (Iryna Kaminska, Haroon Mumtaz, Roman Sustek; Bank of England) What academics think of central banks’ current inflation targets and other objectives (Gene Ambrocio, Andrea Ferrero, Esa Jokivuolle, Kim Ristolainen; VoxEu) Central Banks Face Jumpy Bond Market With 10 Days of Decisions (Enda Curran; Bloomberg) Bolivian central bank fires officials amid political dispute (Ben Margulies; Central Banking) 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
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