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    CALCULATORiQ™
    9 Articles

    Financial Stability

    Browse all Financial Stability articles and guides from CalculatorIQ. Expert insights, tutorials, and calculator resources.

    Shadow Finance and the Housing Reset: Private Credit, Multifamily Debt, and the New Liquidity Risks in Global Financial Markets

    Shadow Finance and the Housing Reset: Private Credit, Multifamily Debt, and the New Liquidity Risks in Global Financial Markets

    Institutional analysis of shadow banking expansion, private credit liquidity mismatch, CRE refinancing walls, multifamily debt resets, manufactured housing consolidation, and systemic contagion scenarios across global financial markets.

    March 20, 2026
    35 min read
    Energy Shock Risk: Oil, War, and the Global Consumer Impact

    Energy Shock Risk: Oil, War, and the Global Consumer Impact

    Institutional analysis of energy price shock transmission mechanics covering oil supply disruption, price transmission channels, inflation feedback loops, Middle East real estate sensitivity, emerging market contagion, and scenario-based containment pathways. Includes Oil Price Shock Estimator, Food Price Transmission Model, and Stagflation Probability Tool.

    March 7, 2026
    30 min read
    Global Housing Stress 2026: Canada, United States, Europe, and the Middle East Compared

    Global Housing Stress 2026: Canada, United States, Europe, and the Middle East Compared

    Cross-regional analysis of housing vulnerability across eight economies using price-to-income, household leverage, refinancing exposure, bank concentration, speculative ratio, and supply elasticity metrics. Includes interactive Global Housing Risk Index tool.

    March 6, 2026
    30 min read
    Canada's Housing System at a Crossroads: Structural Drivers, Systemic Risks, and Stabilization Pathways

    Canada's Housing System at a Crossroads: Structural Drivers, Systemic Risks, and Stabilization Pathways

    Institutional analysis of Canadian housing structural stress covering the mortgage renewal cliff, Big 6 bank exposure, CRE vulnerability, farmland leverage, OSFI regulatory architecture, and scenario-based stabilization pathways. Includes interactive Canadian Mortgage Renewal Stress Calculator.

    March 3, 2026
    28 min read
    Mortgage Rates Are Falling. Are We Rebuilding the Conditions for the Next Housing Shock?

    Mortgage Rates Are Falling. Are We Rebuilding the Conditions for the Next Housing Shock?

    A macro analysis of housing valuation tension, commercial refinancing walls, regional bank exposure, private credit opacity, and the structural differences between 2008 and 2026. Includes interactive calculators for housing tension, CRE stress, bank concentration, and the Real Estate Risk Index.

    February 27, 2026
    22 min read
    Can Investment Firms Seize Client Assets in a Crisis? Bail-Ins, Broker Risk, and What the Law Actually Permits

    Can Investment Firms Seize Client Assets in a Crisis? Bail-Ins, Broker Risk, and What the Law Actually Permits

    Legal analysis of bail-in mechanics, broker failure procedures, rehypothecation, SIPC and FDIC protections, and what the law actually permits during a financial crisis across US, Canada, and EU jurisdictions.

    February 18, 2026
    18 min read
    How Protected Are Your Investments? A Crisis Scenario Guide for Households and Businesses

    How Protected Are Your Investments? A Crisis Scenario Guide for Households and Businesses

    Educational guide examining FDIC, SIPC, CIPF, and CDIC protections with interactive tools for assessing account vulnerability, liquidity resilience, and counterparty concentration.

    February 18, 2026
    14 min read
    Building a Crisis-Resilient Portfolio: Custody Structure, Counterparty Risk, and Legal Awareness

    Building a Crisis-Resilient Portfolio: Custody Structure, Counterparty Risk, and Legal Awareness

    Structural resilience guide covering asset segregation, multi-custodian strategies, corporate treasury protections, and liquidity ladder planning for individuals and businesses in the US, Canada, and EU.

    February 18, 2026
    16 min read
    Custody Integrity and Bail-In Regimes: Regulatory Architecture, Systemic Risk, and Governance Safeguards

    Custody Integrity and Bail-In Regimes: Regulatory Architecture, Systemic Risk, and Governance Safeguards

    Institutional-grade analysis of global bail-in frameworks, resolution authority mechanics, rehypothecation risk chains, and governance blind spots in custody infrastructure across US, Canada, UK, and EU.

    February 18, 2026
    20 min read