From 1980s Debt Crisis to Crypto Era, Financial Stability Monitoring
The IMF’s Global Financial Stability Report, introduced in 2002, was a step toward a more comprehensive assessment of risks in financial markets and cross-border capital flows.
The introduction of the Global Financial Stability Report marked an important step toward a more comprehensive and frequent assessment of cross-border capital flows and financial market risks.
IMF 22 June 2022
Financial Stability Risks Grow as War Complicates Push to Contain Inflation
Regulators must act to rein in Wall Street risks as rates rise
The Fed needs to reverse course on regulatory easing to ensure financial stability when borrowing costs increase
SHEILA BAIR former chair of the US Federal Deposit Insurance Corporation FT FEBRUARY 4 2022
https://www.ft.com/content/625377b0-98bc-4b74-9419-2446be091e9a
Capital Markets Regulation Is Stronger, but Some Gaps Still Must be Closed
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