Previous seminars

301-315 from 451 results

TitleDate
‘Ratio Financial Controls needs Reconsideration’22 May 2012
Charles Goodhart - London School of Economics
Role of Central Banks in Financial Stability: Lessons from the Experience of the Bank of Japan21 May 2012
Takeo Hoshi University of California
On the correspondence between data revision and trend-cycle decomposition15 May 2012
Jan Jacobs - Rijksuniversiteit Groningen
Sovereign Risk, Fiscal Policy, and Macroeconomic Stability8 May 2012
Giancarlo Corsetti - Cambridge University
Monetary Policy, Leverage, and Bank Risk-Taking26 April 2012
Giovanni Dell'Ariccia Joint Cifra/ DNB at UVA
Model Uncertainty for long-term investors24 April 2012
Bart Diris - Erasmus University
"Responding to a Shadow Banking Crisis: the Lessons of 1763"17 April 2012
William Roberds - Federal Reserve Bank of Atlanta
How to stabilize EMU using conditional Eurobonds10 April 2012
Wim Boonstra - Rabobank
The macroeconomic consequences of Defined Benefit and Defined Contribution Pensions in the context of the financial crisis3 April 2012
Caicai Du - Maastricht University
Maria Soledad Martinez Peria - The World Bank2 April 2012
Maria Soledad Martinez Peria - The World Bank
Unexploited Gains from International Diversification: Patterns of Portfolio Holdings around the World28 March 2012
Sergio Schmukler - The World Bank
Systemic Risk: Models and Policy27 March 2012
Jon Danielsson - London School of Economics
tba23 February 2012
Daniel Paravisini - Columbia Business School (Joint Cifra) CANCELLED
A Macroeconomic Model of Endogenous Systemic Risk Taking24 January 2012
Janvier Suarez
Bailouts, Contagion, and Risk-Taking20 December 2011
Lev Ratnovski (IMF)

301-315 from 451 results