News in Systemic Risk: Monday, February 14, 2022 (10 a.m. ET) February 14, 2022 Economic Policy Lessons from Covid-19: The Big Picture (Ben S. Bernanke; Agustín Carstens; Timothy F. Geithner; Tharman Shanmugaratnam; Masaaki Shirakawa) Bank risk-taking and impaired monetary policy transmission (Philipp J. Koenig, Eva Schliephake; European Central Bank) Recent inflation developments in the United States and the euro area – an update (Prepared by Sofía Cuquerella Ricarte, Ramon Gomez-Salvador, Gerrit Koester; European Central Bank) Adverse scenario for the European Securities and Markets Authority’s money market fund stress testing guidelines in 2021 (European Systemic Risk Board) Cryptocurrencies – An assessment (Shri T Rabi Sankar; Reserve Bank of India) The impact of monetary policy on income and wealth inequality (Petri Mäki-Fränti, Aino Silvo, Adam Gulan, Juha Kilponen; VoxEu) Nigerian governor says credit programme has boosted agriculture (Central Banking)