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Central Banks' Financial Resilience Measures
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Central banks are contemplating various measures to enhance financial resilience and address market vulnerabilities. The Bank of England is considering rules for the fund industry, similar to those applied on pension strategies, to prevent a fire-sale dynamic in UK bonds. The Financial Stability Board dismisses the need for changes to the global framework following the Credit Suisse debacle, highlighting the need for a public sector backstop. Central banks are also considering lending to hedge funds to address market volatility and reduce risk.
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How might the implementation of rules for the fund industry impact the stability of the financial markets?
How might the opposition to central banks expanding operations affect the regulatory landscape and financial stability?
What are the potential implications of central banks lending to hedge funds on market volatility and risk management strategies?
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