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The main objective of this technical note is to analyze the supervision and systemic risk management of financial …
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systemic risk analysis reveals a low degree of interconnectedness between the largest Australian banks and their global … systemic risk oversight …
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This Technical Note on Stress Testing and Systemic Risk Analysis for the Republic of Poland discusses that Poland …
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The U.K. financial sector is globally systemic, open, and complex. It has weathered the COVID-19 pandemic fittingly, thanks to the post-GFC reforms, a proactive macroprudential stance, and an effective multipronged response to maintain financial stability. Brexit uncertainties are being handled...
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This paper analyzes the cross-border risks that could result from a decarbonization of the world economy. We develop a typology of cross-border risks and their respective channels. Our qualitative and quantitative scenario analysis suggests that the mid-transition - a period during which...
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