News in Systemic Risk: Tuesday, February 16, 2021 (10 a.m. ET) February 16, 2021 Initial monetary policy response to the COVID-19 pandemic in inflation targeting economies (Joanna Niedźwiedzińska; Narodowy Bank Polski) Investor monitoring, money-likeness and stability of money market funds (Maija Järvenpää, Aleksi Paavola; Finlands Bank) The Covid crisis, central banks and the future (Gavin Bingham, Paul Fisher, Andrew Large; Central Banking) Should governments in emerging economies worry about their debt? (The Economist) Biden extends foreclosure moratorium and mortgage forbearance through June (Daniel Payne; Politico)