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)