News in Systemic Risk: Tuesday, September 20, 2022 (10:00 a.m. ET) September 20, 2022 Evaluating market risk from leveraged derivative exposures (Audrius Jukonis; European Central Bank) Enhancing private and public risk sharing (Jacopo Cimadomo, Esther Gordo Mora, Alessandra Anna Palazzo; European Central Bank) Debt service ratios for the private non-financial sector (BIS Staff; BIS) Effect of Macroprudential Policies on Sovereign Bond Markets: Evidence from the ASEAN-4 Countries (Joshua Aizenman, Gazi Salah. Uddin, Tianqi Luo, Ranadeva Jayasekera, Donghyun Park; BIS) Norway: 2022 Article IV Consultation-Press Release; Staff Report; and Statement by the Executive Director for Norway (IMF Staff; IMF)