Previous seminars

46-60 from 468 results

TitleDate
The Fight Against Financial Crime: How Global Banks’ De-Risking Affects Trade and the Local Economy18 June 2019
Karolin Kirschenmann (ZEW)
Estimating the Impact of the Financial Cycle on Fiscal Policy11 June 2019
Beau Soederhuizen (Centraal Planbureau)
Information Frictions and Financial Flows - Evidence from the 19th Century4 June 2019
Benjamin Wache (Vrije Universiteit Amsterdam and Tinbergen Institute)
Inflation Expectations and Choices of Households: Evidence from Linked Survey and Administrative Data?28 May 2019
Nathanael Vellekoop (Goethe University Frankfurt en SAFE)
Ambiguity, Monetary Policy and Trend Inflation21 May 2019
Riccardo Masolo (Bank of England)
The Effects of Tax Changes: Structural Estimates from a Life-Cycle Model14 May 2019
Raffaele Rossi (University of Manchester)
Inflation Expectations and Firm Decisions: New Causal Evidence7 May 2019
Tiziano Ropele (Bank of Italy)
The Government Spending Multiplier at the Zero Lower Bound: International Evidence from Historical Data30 April 2019
Roland Winkler (University of Antwerp)
Repo Rates and the Collateral Spread Puzzle16 April 2019
Kjell Nyborg (University of Zurich)
Are Professional Forecasters Bayesian4 April 2019
Sebastiano Manzan (Baruch College (CUNCY)
The nature of firm growth28 March 2019
Petr Sedlacek (Oxford University)
Global spillovers of US monetary policy: is there scope for international coordination?26 March 2019
Paul van den Noord (Universiteit van Amsterdam)
Sticky prices and the transmission mechanism of monetary policy: A minimal test of New Keynesian models19 March 2019
Guido Ascari (University of Oxford)
The decline of the labor share: new empirical evidence12 March 2019
Francesco Furlanetto (Norge Bank)
Rollover Risk, Bank Borrowing and Fragility7 March 2019
Toni Ahnert (Bank of Canada)

46-60 from 468 results