Research Seminar in Contract Theory and Banking - Fall Term 2015

Monday, 14:15 – 15:30

Program (PDF, 35 KB)

Special Session: Monday, 24.08.2015, 14:15 - 15:45, Lecture Room: HAH-E10
Lavinia Stoppani, Università degli Studi di Milano-Bicocca
Paper: "Public Guarantees to SME Borrowing in Italy. A RDD Evaluation"
Alessandro Scopelliti, University of Warwick
Paper: "Securitisation and Risk Retention in European Banking: The Importance of Collateral and Prudential Regulation"
Date Presenter Paper
21.09 Farzad Saidi
University of Cambridge
Does Bank Scope Improve Monitoring Incentives in Syndicated Lending
05.10 Josef Falkinger
University of Zurich
Explaining structural change towards and within the financial sector
12.10 Semyon Malamud
EPF Lausanne
19.10 Hans Gersbach
ETH Zurich
Money Creation, Monetary Policy, and Capital Regulation
02.11 Adonis Antoniades
Bank for International Settlements
Commercial Bank Failures During The Great Recession: The Real (Estate) Story
09.11 Christoph Herpfer
EPF Lausanne
The Causal Impact of Proximity on Bank Lending
16.11 Stefano Lovo
HEC Paris
Unique Durable Assets
23.11 Eva Schliephake
University of Bonn
Bank Stability and the Allocation of Liquidity in the Banking System
30.11 Daniele Titotto
University of Zurich
Asset Management within Commercial Banking Groups: International Evidence
07.12 Gechun Liang
King's College London
Funding Liquidity, Debt Tenor Structure, and Creditor's Belief: An Exogenous Dynamic Debt Run Model
14.12 Hubert Kempf
Ecole Normale Supérieure de Cachan
Competition Among Regulators and the Efficiency of Banking Regulation