Recovery plans should include a "framework of recovery triggers", an escalation process, a menu of recovery options, and a communication plan.
January 2, 2024In a separate note, JP Morgan says the Fed's decision to prevent stablecoins from accessing its overnight facilities could risk disruption in funding markets.
October 2, 2023The FSB explains the sources of risk in the NBFI sector, and the data, tools and policy approaches available to monitor and address these risks.
June 9, 2022IOSCO is considering ways to improve the functioning of corporate bond markets. It is also proposing new guidance to improve ETF markets.
April 7, 2022Algorithmic trading and high-frequency trading were generally not found to have a deteriorating impact on market liquidity or increase market volatility.
June 29, 2021IOSCO is asking asset managers to participate in a survey on their liquidity risk management practices and experiences during the March 2020 market turmoil.
March 8, 2021In a new white paper, DTCC highlights the need for financial market infrastructures to focus on risks created or exacerbated by the impact of the pandemic.
January 14, 2021Procyclical changes to initial margin levels ended up draining liquidity from the market and contributing to market stress during the March/April market turmoil.
January 12, 2021