News in Systemic Risk: Wednesday, March 30, 2022 (10 a.m. ET) March 30, 2022 Finding resilience in times of uncertainty (Christine Lagarde; European Central Bank) Newsletter on third- and fourth-party risk management and concentration risk (Bank for International Settlements) Leveraged transactions - supervisory expectations regarding the design and functioning of risk appetite frameworks and high levels of risk taking (Andrea Enria; ECB Banking Supervision) Today’s inflation and the Great Inflation of the 1970s: Similarities and differences (Jongrim Ha, M. Ayhan Kose, Franziska Ohnsorge; VoxEu) Sovereign Bond Restructuring: Commitment vs. Flexibility (Jason Roderick Donaldson, Lukas Kremens, Giorgia Piacentino; National Bureau of Economic Research) Reliable partners (Ben Broadbent; Bank of England)