Banking and Finance Workshop

This workshop is sponsored by the Santander - CEMFI Research Chair.

You may subscribe to email notifications of our various seminar series. You also can subscribe to iCalendar versions of our seminar announcements.

First term

30 September 2024

13:30

Rajkamal Iyer (Imperial College London), Distortive Effects of Deposit Insurance: Administrative Evidence from Deposit and Loan Accounts (joint with Dominic Cucic, Sotirios Kokas, and José-Luis Peydró).

14 October 2024

13:30

Nicolas Serrano-Velarde (Bocconi University), Committing to Grow: Employment Targets and Firm Dynamics (joint with Ufuk Akcigit, Harun Alp, and André Diegmann).

28 October 2024

13:30

Rustam Jamilov (University of Oxford), Two Centuries of Systemic Bank Runs (joint with Tobias König, Karsten Müller, and Farzad Saidi).

7 November 2024

13:30

joint Econometrics Seminar -Marine Carrasco (Université de Montréal), Hansen-Jagannathan distance with many assets (joint with Cheikh Nokho).

18 November 2024

13:30

Rainer Haselman (Goethe-Universität Frankfurt), Unintended Consequences of QE: Real Estate Prices and Financial Stability .

19 November 2024

13:30

Ricardo Barahona ( Banco de España), Bank-affiliated mutual funds in market-based resolutions of distress.

25 November 2024

13:30

Marco Giometti (UC3M), Bank Specialization, Control Rights, and Real Effects (joint with Ozan Guler and Stefano Pietrosanti).

Second term

20 January 2025

13:30

Nicola Pavanini (Tilburg University), Leverage Regulation and Housing Inequality (joint with Jens Soerlie Kvaerner and Yushi Peng).

27 January 2025

13:30

Joan Farre-Mensa (University of Illinois Chicago), The Effects of the QSBS Exemption on Entrepreneurship and Innovation (joint with Jun Chen).

10 February 2025

13:30

Giorgio Ottonello (NOVA SBE), What Drives the Volatility of Professional Stock Return Forecasts? Causal Evidence from Macro Shocks .

17 February 2025

13:30

Anatoli Segura (Banca d'Italia), Common Deposit Insurance, Cross-Border Banks and Welfare (joint with Gyöngyi Lóránth and Jing Zeng).

10 March 2025

13:30

Stefan Gissler (Federal Reserve Board Washington DC), Intraday liquidity management and the value of flexibility (joint with Borghan Narajabad).

Third term

1 April 2025

13:30

Paolo Sodini (Stockholm School of Economics), More than Money: The Role of Preferences on Wealth Mobility.

21 April 2025

13:30

Juan Antolín-Díaz (London Business School), How Did Government Bonds Become Safe? .

26 May 2025

13:30

Jean-Charles Rochet (Toulouse School of Economics), TBA.

2 June 2025

13:30

Dimitri Vayanos (London School of Economics), TBA.

8 July 2025

13:30

Tetiana Davydiuk (Johns Hopkins), Corporate Bond Issuance by Financial Institutions.

Back