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) 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