News in Systemic Risk: Monday, March 28, 2022 (10 a.m. ET) March 28, 2022 Turning in the widening gyre: monetary and fiscal policy in interwar Britain (David Ronicle; Bank of England) Residential inflation: The rise in the pipeline (Marijn Bolhuis, Judd N. L. Cramer, Lawrence H. Summers; VoxEu) How Russia’s Central Bank Engineered the Ruble’s Rebound (Caitlin Ostroff; Wall Street Journal) Banking on a successful future for the mutual sector (John Lonsdale; Australian Prudential Regulation Authority) ECB agrees euro liquidity lines with non-euro area central banks until 15 January 2023 (European Central Bank)