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Global Financial Stability Report, October 2022: Navigating the High-Inflation Environment

Global financial stability risks have increased amid a series of cascading shocks. Chapter 1 analyzes the policy response of central banks to high inflation, the risks of a disorderly tightening of financial conditions, and debt distress among emerging and frontier markets. Chapter 2 examines how to narrow the climate financing gap in emerging market and developing economies. Chapter 3 analyzes the contributions of open-end investment funds to fragilities in asset markets.

date:  13/11/2022

Keywords: development cooperation, financial stability, high-inflation, emerging markets

Publisher: IMF
Publication date: Oct 2022
Language: EN

Read the publication in EN