Calm Markets and Underlying Risks: Highlights from the OFR’s 2025 Annual Report
Steve Bright and
Hashim Hamandi
No 26-06, The OFR Blog from Office of Financial Research, US Department of the Treasury
Abstract:
The 2025 OFR Annual Report reflects a financial system that remains broadly resilient yet exposed to changing risks that necessitate continued monitoring.
Date: 2026-03-26
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