Previous seminars
Title | Date |
---|---|
Forward Guidance, Quantitative Easing, or both? | 4 April 2017 |
Ferre De Graeve, KU Leuven | |
Equity Versus Bail-in Debt in Banking: an Agency Perspective | 28 March 2017 |
Javier Suarez, CEMFI | |
Structural Asymmetries and Financial Imbalances in the Eurozone | 21 March 2017 |
Ivan Jaccard, ECB | |
Demand, Markups and Business Cycles | 21 February 2017 |
Federico Etro, University of Venice | |
Exchange Rates and Macro News in Emerging Markets | 14 February 2017 |
Guglielmo Maria Caporale, Brunel University | |
Monetary Policy Implications of State-Dependent Prices and Wages | 7 February 2017 |
Anton Nakov, ECB | |
The Leverage Ratio and Liquidity in the Gilt and Repo Markets | 31 January 2017 |
Andreea Bicu, Bank of England | |
The Innovation Dilemma: Uncertainty and Economic Policy | 24 January 2017 |
Yakov Ben-Haim, Israel Institute of Technology | |
13 December 2016 | |
Patrick Bolton, Columbia Business School (POSTPONED) | |
Competitiveness and Export Performance of CEE Countries | 6 December 2016 |
Beata Bierut, National Bank of Poland | |
Bank business models at zero interest rates | 29 November 2016 |
Julia Schaumburg, VU Amsterdam | |
Low inflation and monetary policy in the euro area | 24 November 2016 |
Stefano Neri, Bank of Italy | |
CoCo Bond Issuance and Bank Funding Costs | 16 November 2016 |
Anastasia Kartasheva, BIS | |
Collateral, Rehypothecation, and Efficiency | 15 November 2016 |
Charles Kahn, University of Illinois | |
Loan Officer Incentives, Internal Rating Models and Default Rates | 8 November 2016 |
Manju Puri, Duke University |