News in Systemic Risk: Wednesday, March 14, 2018 (10 a.m. ET)
Ten Years After the Bear Stearns Bailout, Nobody Thinks It Would Happen Again (WSJ)
Financial stability risks and macroprudential policy in the euro area – Speech by Vítor Constâncio (ECB)
Financial regulation and innovation: a two-way street – Introductory remarks by Benoît Cœuré (ECB)
Global imbalances from a stock perspective. The asymmetry between creditors and debtors (Enrique Alberola-Ila, Ángel Estrada, Francesca Viani; BIS)
Risk Strategy: China Rolls Dice With New Megaregulator (WSJ)
Exclusive: China's regulators compete to look tough as political pressure mounts (Reuters)
European Commission reveals ‘ambitious’ plan to tackle bad loans (FT)
EU Commission proposes stricter requirements for banks saddled with bad loans (Reuters)
EBA estimates impact on banks of new rules for bad loans (FT)
EU banks watchdog says bad loan rule to have moderate capital hit (Reuters)
France ready to curb excessive corporate borrowing (Reuters)
Denmark introduces countercyclical buffer for banks (Reuters)
Exclusive: G20 financial heads to urge crypto-asset monitoring to safeguard financial stability (Reuters)
US regional banks powered by prospect of sector reforms (FT)