Research Seminars 2012
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| Title and Speaker | Date |
|---|---|
| International Great Inflation and Common Monetary Policy | 18-dec-12 |
| Anastasia Zervou Texas A&M | |
| When Credit Bites Back: Leverage, Business Cycles, and Crises | 13-dec-12 |
| Alan Taylor University of Virginia | |
| A Sheep in Wolf’s Clothing: Can a Central Bank Appear Tougher than it is? | 11-dec-12 |
| Rob Nijskens Tilburg University | |
| 2013 Global Financial Development Report: Rethinking The Role of the State in Finance | 5-dec-12 |
| Martin Cihak World Bank | |
| A Theory of Bank Liquidity Requirements | 27-nov-12 |
| Florian Heider Europese Centrale Bank | |
| Financial Protectionism | 22-nov-12 |
| Andrew Rose University of California | |
| The I-Theory of Money | 20-nov-12 |
| Yuliy Sannikov Princeton University (Seminar takes place at UVA) | |
| Liquidity Provision and Payment System Inequality | 13-nov-12 |
| Rodney Garratt University of California | |
| Are There Spillover Effects from Munis? | 23 October 2012 |
| Bertrand Candelon Maastricht University | |
| Has Financial Innovation Made the World Riskier? CDS, Regulatory Arbitrage and Systemic Risk | 11 October 2012 |
| Tanju Yorulmazer Federal Reserve Bank of New York | |
| Sovereigns, Upstream Capital Flows, and Global Imbalances | 27-sep-12 |
| Sebnem kalemli-Ozcan University of Houston | |
| Contagion in Coordination Games with Endogenous Information Acquisition | 25-sep-12 |
| Toni Ahnert London School of Economics | |
| Money Market Funds Intermediation, Bank Instability, and Contagion | 18-sep-12 |
| Bruno Parigi University of Padova | |
| Pat McGuire - Rapid credit growth and international credit | 11-sep-12 |
| Pat McGuire BIS | |
| The Liquidity Consequences of the Euro Area Sovereign Debt Crisis | 17 July 2012 |
| Richhild Moessner BIS | |
| Household Credit Delinquency: does the Borrowers’ Indebtedness Profile Play a Role? | 19 June 2012 |
| Luisa Farinha - Bank of Portugal | |
| Liquidity Crises, Banking, and the Great Recession | 12 June 2012 |
| Sören Radde - Deutsches Institut Für Wirtschaftsforschung | |
| How do Banks Adjust Their Capital Structure? International Evidence | 29 May 2012 |
| Oliver de Jonghe - Tilburg University | |
| ‘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 Japan | 21 May 2012 |
| Takeo Hoshi University of California | |
| On the correspondence between data revision and trend-cycle decomposition | 15 May 2012 |
| Jan Jacobs - Rijksuniversiteit Groningen | |
| Sovereign Risk, Fiscal Policy, and Macroeconomic Stability | 8 May 2012 |
| Giancarlo Corsetti - Cambridge University | |
| Monetary Policy, Leverage, and Bank Risk-Taking | 26-apr-12 |
| Giovanni Dell'Ariccia Joint Cifra/ DNB at UVA | |
| Model Uncertainty for long-term investors | 24-apr-12 |
| Bart Diris - Erasmus University | |
| "Responding to a Shadow Banking Crisis: the Lessons of 1763" | 17-apr-12 |
| William Roberds - Federal Reserve Bank of Atlanta | |
| How to stabilize EMU using conditional Eurobonds | 10-apr-12 |
| Wim Boonstra - Rabobank | |
| The macroeconomic consequences of Defined Benefit and Defined Contribution Pensions in the context of the financial crisis | 3-apr-12 |
| Caicai Du - Maastricht University | |
| Maria Soledad Martinez Peria - The World Bank | 2-apr-12 |
| Maria Soledad Martinez Peria - The World Bank | |
| Unexploited Gains from International Diversification: Patterns of Portfolio Holdings around the World | 28 March 2012 |
| Sergio Schmukler - The World Bank | |
| Systemic Risk: Models and Policy | 27 March 2012 |
| Jon Danielsson - London School of Economics | |
| tba | 23 February 2012 |
| Daniel Paravisini - Columbia Business School (Joint Cifra) CANCELLED | |
| A Macroeconomic Model of Endogenous Systemic Risk Taking | 24 January 2012 |
| Janvier Suarez |