The BSP Book on Risk and Resilience in the Philippine Financial System: How Much Has Changed?
03 July 2026
Edited by Ramon Moreno and Veronica Bayangos
The BSP book on “Risk and Resilience in the Philippine Financial System: How Much Has Changed?” examines how the Philippine financial system has confronted major episodes of stress from the 1980s to the 2020s, including the early debt and financial crises, the Asian and Global Financial Crises, the COVID-19 pandemic, and other pivotal shocks that shaped regulation and market behavior. By revisiting these critical periods, the project aims to distill lessons on systemic risk, regulatory reform, and institutional resilience to inform current and future financial stability policy in the Philippines, particularly for policymakers, regulators, financial sector practitioners, academics, and students of economics and finance who seek a deeper understanding of the country’s financial stability journey.
Speeches during the Book’s Closing Conference | 04 November 2025