What Global Financial Stability Report, October 2021: COVID-19, Crypto, and Climate requires
This report assesses global financial stability, noting that while risks have been contained due to ongoing policy support and economic rebound, vulnerabilities remain elevated in several sectors. Optimism has faded due to concerns about the strength of the global recovery, supply chain disruptions, and inflation. Stretched asset valuations persist, and there are pockets of vulnerabilities in the nonbank financial sector. Chapter 2 specifically discusses the opportunities and challenges of the crypto ecosystem. Key risks identified include those to consumers arising from crypto asset providers’ lack of operational or cyber resilience. Additionally, significant data gaps, stemming from anonymity and limited global standards, pose risks to financial integrity. For emerging markets and developing economies, the adoption of crypto assets and stablecoins may accelerate dollarization risks. The chapter concludes by noting it provides a set of actionable policy recommendations to address these challenges.
Pillar: Crypto & Sovereign Finance · Authority: International Monetary Fund · Version: 1.0.0 · Last updated:
Primary source: https://www.imf.org/en/Publications/GFSR/Issues/2021/10/12/global-financial-stability-report-october-2021
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Primary Citations — 8 traced to source
- Overview: Financial stability risks have been contained so far, reflecting ongoing policy support and a rebound in the global economy earlier this year.
- Chapter 1: However, financial vulnerabilities remain elevated in several sectors.
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