Previous seminars

136-150 from 470 results

TitleDate
Forward Guidance, Quantitative Easing, or both?4 April 2017
Ferre De Graeve, KU Leuven
Equity Versus Bail-in Debt in Banking: an Agency Perspective28 March 2017
Javier Suarez, CEMFI
Structural Asymmetries and Financial Imbalances in the Eurozone21 March 2017
Ivan Jaccard, ECB
Demand, Markups and Business Cycles21 February 2017
Federico Etro, University of Venice
Exchange Rates and Macro News in Emerging Markets14 February 2017
Guglielmo Maria Caporale, Brunel University
Monetary Policy Implications of State-Dependent Prices and Wages7 February 2017
Anton Nakov, ECB
The Leverage Ratio and Liquidity in the Gilt and Repo Markets31 January 2017
Andreea Bicu, Bank of England
The Innovation Dilemma: Uncertainty and Economic Policy24 January 2017
Yakov Ben-Haim, Israel Institute of Technology
13 December 2016
Patrick Bolton, Columbia Business School (POSTPONED)
Competitiveness and Export Performance of CEE Countries6 December 2016
Beata Bierut, National Bank of Poland
Bank business models at zero interest rates29 November 2016
Julia Schaumburg, VU Amsterdam
Low inflation and monetary policy in the euro area24 November 2016
Stefano Neri, Bank of Italy
CoCo Bond Issuance and Bank Funding Costs16 November 2016
Anastasia Kartasheva, BIS
Collateral, Rehypothecation, and Efficiency15 November 2016
Charles Kahn, University of Illinois
Loan Officer Incentives, Internal Rating Models and Default Rates8 November 2016
Manju Puri, Duke University

136-150 from 470 results