Previous seminars

121-135 from 468 results

TitleDate
Pipeline Risk in Leveraged Loan Syndication5 September 2017
Frédéric Malherbe, london business school
Detecting Granular Time Series in Large Panels18 July 2017
Geert Mesters, Pompeu Fabra University
Exchange rate pass-through: What has changed since the crisis?13 July 2017
Richhild Moessner, BIS
Does marketing widen borders? Cross-country price dispersion in the European car market4 July 2017
Georg Strasser, ECB
Earnings inequality and intra-generational mobility27 June 2017
Alexander Hijzen, OECD
OTC Derivatives Reform and Central Clearing13 June 2017
Paul Glasserman, Columbia Business Shool
6 June 2017
Laurence Ball, Johns Hopkins University (POSTPONED)
Banking Globalization, Local Lending, and Labor Market Effects: Micro-Level Evidence from Brazil23 May 2017
Matias Ossandon Busch, Halle Institute for Economic Research
Fertility, Longevity and Capital Flows16 May 2017
Nicolas Coeurdacier, Sciences Po
Natural Rates across the Atlantic2 May 2017
Andrea Gerali, BIS
State Dependence in Labor Market Fluctuations: Evidence, Theory and Policy Implications25 April 2017
Francesco Zanetti, Oxford University
Business Cycles, Investment Shocks, and the "Barro-King Curse"18 April 2017
Guido Ascari, Oxford University
11 April 2017
Nicola Gennaioli, University of Bocconi (POSTPONED)
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

121-135 from 468 results