News in Systemic Risk: Monday, February 6, 2023 (10:00 a.m. ET) February 6, 2023 Debt Relief Under the Heavily Indebted Poor Countries Intitiative (International Monetary Fund) Stabilising financial markets: Lending and market making as a last resort (Willem Buiter, Stephen Cecchetti, Kathryn Dominguez, Antonio Sánchez Serrano; VoxEU) Institutional investors hedging of foreign exchange risk from investing in equities abroad can affect the exchange rate (Nadav Ben Zeev, Daniel Nathan; VoxEU) Debt overhand, credit demand and financial conditions (Isabel Argimón, Irene Roibás; Banco de España)