Banking and Finance Workshop

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First term

28 September 2020

15:00

David Martinez-Miera (UC3M), Who Truly Bears (Bank) Taxes? Evidence from Just Shifting Statutory Incidence (joint with Gabriel Jiménez and José-Luis Peydró).

13 November 2020

15:00

Wenxin Du (Chicago Booth), U.S. Banks and Global Liquidity (joint with Ricardo Correa and Gordon Liao) (joint with MadMac).

16 November 2020

13:30

Ian Martin (LSE), Sentiment and Speculation in a Market with Heterogeneous Beliefs .

Second term

11 January 2021

15:00

Yaron Leitner (Washington University in St.Louis), Model Secrecy and Stress Tests (joint with Basil Williams).

8 February 2021

13:30

Sebnem Kalemli-Ozcan (University of Maryland), International Spillovers and Local Credit Cycles (joint with Julian di Giovanni, Mehmet Fatih Ulu and Yusuf Soner Baskaya).

8 March 2021

15:00

Claire Celerier (Rotman School of Management, University of Toronto), Can Security Design Foster Household Risk-Taking? (joint with Laurent Calvet, Paolo Sodini, and Boris Vallee).

Third term

19 April 2021

13:30

Nicola Limodio (Università Bocconi), Deposit Insurance and Depositor Behavior: Evidence from Colombia (joint with Nicolás de Roux).

26 April 2021

15:00

Giorgia Piacentino (Columbia Business School), Collateral Reallocation (joint with Jason Donaldson, Denis Gromb, and Giorgia Piacentino ).

10 May 2021

13:30

Thomas Eisenbach (Federal Reserve Bank of New York), Resource Allocation in Bank Supervision: Trade-offs and Outcomes (joint with David O. Lucca and Robert M. Townsend).

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