News in Systemic Risk: Friday, July 15, 2022 (10 a.m. ET) July 15, 2022 Macro-financial stability frameworks and external financial conditions (Bank for International Settlements) Risk capacity, portfolio choice and exchange rates (Boris Hofmann, Ilhyock Shim, Hyun Song Shin; Bank for International Settlements) ESRB publishes EU Non-bank Financial Intermediation Risk Monitor 2022 (European Systemic Risk Board) Monetary Policy in a World of Conflicting Data (Christopher J. Waller; Federal Reserve Board of Governors) Links between government bond and futures markets: dealer-client relationships and price discovery in the UK (Domenico Di Gangi, Vladimir Lazarov, Aakash Mankodi, Laura Silvestri; Bank of England) 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
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