Previous seminars

166-180 from 451 results

TitleDate
First Impressions Matter: An Experimental Investigation of Online Financial Advice3 December 2015
Susan Thorp, University of Sydney
Business and Financial Cycles: an Unobserved Components Models Perspective24 November 2015
Gerhard Runstler, ECB
tba17 November 2015
Guido Ascari, Oxford University (POSTPONED)
Crowded Trades: An Overlooked Systemic Risk for Central Clearing Counterparties10 November 2015
Albert Menkveld, VU
A Review on Safe Assets3 November 2015
Pascal Golec, University of Amsterdam
Selective Disclosure: The Case of Nikkei Preview Articles2 November 2015
Yasushi Hamao, Columbia Business School
Targeting Prices or Nominal GDP: Forward Guidance and Expectation Dynamics29 October 2015
Seppo Honkapohja, Bank of Finland
Buying First or Selling First in Housing Markets27 October 2015
Florian Sniekers, VU
Tax havens or Safe havens. What differences does it make for the removal of bank secrecy?20 October 2015
Skerdilajda Zanaj, University of Luxembourg
The Strategic Under-Reporting of Bank Risk13 October 2015
Taylor Begley, London Business School
tba6 October 2015
Thomas Lubik, FED (POSTPONED)
Regulating the Financial Cycle: An Integrated Approach with a Leverage Ratio22 September 2015
Dirk Schoenmaker, Duisenberg School of Finance
Expectations of inflation: Effects of Wording, Mode, and Opportunities to Revise16 September 2015
Wandi Bruine de Bruine, Leeds University
Collateral versus Informed Screening during Banking Relationships15 September 2015
Artashes Karapetyan, Norges Bank
Self-Fulfilling Debt Crises: Can Monetary Policy Really Help?9 September 2015
Eric van Wincoop, University of Virginia/ NBER

166-180 from 451 results