News in Systemic Risk: Wednesday, March 23, 2022 (10 a.m. ET) March 23, 2022 The role of credit risk in recent global corporate bond valuations (Livia Chiṭu, Magdalena Grothe, Tatjana Schulze; European Central Bank) Inflation and monetary policy in the shadow of war (Anna Breman; Sveriges Riksbank) Money Market Fund Vulnerabilities: A Global Perspective (Antoine Bouveret, Antoine Martin, Patrick E. McCabe; Federal Reserve Board of Governors) Saving Banks from a Black Swan: Options and Trade-offs (Saurabh Ghosh, Pawan Gopalakrishnan, Abhishek Ranjan; Reserve Bank of India) Financial concerns and the marginal propensity to consume (Bruno Albuquerque, Georgina Green; VoxEu) Why foreign investors are feeling jittery about China (The Economist)