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Climate-related financial risks (CRFR) are now recognised by central banks and supervisors as material to their financial stability mandates. But while CRFR are considered to have some unique characteristics, the emerging policy agenda for dealing with them has largely focused on conventional...
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This paper is an introduction to climate change risk for the financial sector (banks and investors). We propose to cover how it emerged, what it means for financial institutions, what are the specific types of approaches to address it as well as current related developments in the industry, how...
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This paper explores the impact of advanced countries' quantitative easing on emerging market economies (EMEs) and how macroprudential policy and good governance play a role in preventing potential financial vulnerabilities. We used confidential locational bank statistics data from the Bank for...
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