Previous seminars

136-150 from 451 results

TitleDate
Supply- and Demand-Side Factors in Global Bank Credit20 September 2016
Patrick McGuire, BIS
Consumption and Macroeconomics13 September 2016
John Muellbauer, University of Oxford
Bank Resolution and the Structure of Global Banks8 September 2016
Martin Oehmke, Columbia Business School
The Effects of Risk Framing, Balanced Information and a Regulatory Seal of Approval on Investor Perception and Behavior6 September 2016
Ruben Cox, Erasmus School of Economics
The Local Average Treatment Effect of Quasi-Random Monetary Experiments30 August 2016
Oscar Jorda, University of California
Can Property Taxes Reduce House Price Volatility? Evidence from U.S. Regions2 August 2016
Tigran Poghosyan, IMF
Do Markets React to Dots or Guidance?14 July 2016
William Nelson, Federal Reserve System
On the Value of Virtual Currencies5 July 2016
Maarten van Oordt, Bank of Canada
Do Firms Mitigate or Magnify Capital Misallocation? Evidence from Plant-Level Data21 June 2016
Matthias Kehrig, University of Texas at Austin
Portfolio Compression in OTC Derivatives Markets14 June 2016
Tarik Roukny, Free University of Brussel
Financial Repression in the European Sovereign Debt Crisis7 June 2016
Bo Becker, Stockholm School of Economics
Matching Capital and Labor24 May 2016
Jules van Binsbergen, University of Pennsylvania
Do National Borders Slow Down the Diffusion of New Technological Fields? The Case of Big Data in Europe17 May 2016
Bas Straathof, Netherlands Bureau for Economic Policy Analysis
Interacting Prudential and Monetary Policies in an Agent-based Model10 May 2016
Joeri Schasfoort and Dirk Bezemer, University of Groningen
Benefits and Costs of Bank Capital26 April 2016
Lev Ratnovski, IMF

136-150 from 451 results