News in Systemic Risk: Monday, May 23, 2022 (10 a.m. ET) May 23, 2022 Private sector debt and financial stability (Roong Mallikamas, Benjamin Weigert; Bank for International Settlements) Do Monetary Policy Outcomes Promote Stability in Fragile Settings? (Oumar Diallo, Steve Loris Gui-Diby, Patrick A. Imam; International Monetary Fund) Climate-related risks to financial stability (Tina Emambakhsh, Margherita Giuzio, Luca Mingarelli, Dilyara Salakhova, Martina Spaggiari; European Central Bank) Monetary policy normalisation in the euro area (Christine Lagarde; European Central Bank) Financial Infrastructure Report 2022 (Norges Bank) From QE to QT – The next phase in the Reserve Bank's Bond Purchase Program (Christopher Kent; Reserve Bank of Australia) Fed nominee Barr plans to re-evaluate capital and liquidity rules (Riley Steward; Central Banking) Related Stories High School Students Visit Yale SOM for Introduction to Careers in Business and Economics Visiting Yale, Treasury Secretary Janet Yellen Hails Program on Financial Stability Program on Financial Stability Receives $7.5 million