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) 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