News in Systemic Risk: Monday, July 11, 2022 (9 a.m. ET) July 11, 2022 Restoring confidence in troubled financial institutions after a financial crisis (Charles W. Calomiris, Mark Carlson; The Federal Reserve) How to limit the risks to financial stability posed by the Federal Home Loan Bank System (Daniel K. Tarullo; Brookings Hutchins Center) Contagion as a Dealmaker? The effect of financial spillovers on regional lending programs (Alica Ida Bonk, Alexandra Fotiou, Georgios Manalis; International Monetary Fund) Options for access to and interoperability of CBDCs for cross-border payments (Bank for International Settlements) Globalisation of Inflation and Conduct of Monetary Policy (Shri Shaktikanta Das; Reserve Bank of India) It’s the risk management, stupid! (Anil Kashyap; Bank of England) The impact of weight shifts on inflation: Evidence for the euro area HICP (Thomas A. Knetsch, Patrick Schwind, Sebastian Weinand; Deutsche Bundesbank)