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Examines current risks facing the global financial system, and the policy actions that may mitigate these. It analyses the key challenges facing financial and non-financial firms as they continue to repair their balance sheets.
The September 2011 Global Financial Stability Report cautions that the risks to global financial stability have increased substantially in recent months, during which heavy public debt burdens and weak growth prospects in many advanced economies combined with a series of shocks to the global financial system.
Examines systemic risk and the redesign of financial regulation; the role of central counterparties in making over-the-counter derivatives safer; and the effects of the expansion of global liquidity on receiving economies.
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