Previous seminars

346-360 from 451 results

TitleDate
Serial Default and Debt Renegotiation5 April 2011
Tamon Asonuma (IMF)
Contingent Convertible Bonds and Capital Bonds and Capital Structure Decisions25 March 2011
Dwight Jaffee (Haas School of Business) Joint Cifra/DNB
International Capital Allocation, Sovereign Borrowing, and Growth15 March 2011
Vadym Volosovych (Erasmus University Rotterdam)
Nowcasting8 March 2011
Marta Banbura (European Central Bank)
Explaining the Fall in Citizens' Trust in the ECB during the Global Financial Crisis1 March 2011
Michael Ehrmann (European Central Bank)
Bank Risk-Taking Abroad: Does Home-Country Regulation and Supervision Matter?22 February 2011
Alexander Popov (European Central Bank)
Managing Consumer Resistance to Innovations8 February 2011
Machiel Reinders (Wageningen University)
Money and Liquidity in Financial Markets1 February 2011
Kjell Nyborg (University of Zurich) Joint Cifra/DNB bij UvA
Credit Ratings and Bank Monitoring Ability25 January 2011
Kasper Roszbach (Sveriges Riksbank/Groningen University)
Of Religion and Redemption30 November 2010
Steven Ongena (Tilburg University)
Intergenerational Risk Sharing under Endogenous Labor Supply9 November 2010
Roel Mehlkopf (Tilburg University)
Monetary Police Leverage and Bank Risk Taking27 October 2010
Luc Laeven (IMF)
Measuring the Tail Risks of Banks12 October 2010
Wolf Wagner (Tilburg University)
How Do Business and Financial Cycles Interact5 October 2010
Ayhan Kose (IMF)
The Trade Effects of Endogenous Preferential Trade Agreements30 September 2010
Peter Egger (ETH Zürich)

346-360 from 451 results