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Research Seminars 2012

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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