A new BIS paper proposes policy measures to tackle the risks that arise from the link between fiscal policy and financial stability.
April 18, 2023Banks and insurers are instructed to have their green finance management systems and procedures in place by 1 June 2023.
June 6, 2022National low-carbon transition funds will be established and existing government investment funds will help to facilitate decarbonisation.
June 3, 2022Cross-border effects are creating a layer of risks on top of scars that Covid has already inflicted on the domestic economy, the FSCC says.
June 8, 2021The PBOC should adopt an aggressive monetary policy like that of the US Fed to boost consumption amid concerns about growing debt levels.
April 19, 2021Policymakers should be prepared for the risks of a market correction as complacent investors bet on continued policy support and drive up valuations, the IMF warns.
February 1, 2021Once the acute illiquidity phase of the crisis passes and insolvency problems emerge, the onus of crisis management will shift from central banks to fiscal authorities.
July 1, 2020If Covid-19 is not contained, debt will accumulate and credit risks will mount, leading to ratings downgrades which will exacerbate existing stresses and cause asset sell-offs.
June 12, 2020