Seminars
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 | ||
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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 | ||
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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 | ||
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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. |