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Doctoral Program in Finance

Finance Seminar - Fall Term 2019

Organised by the Department of Banking and Finance at the University of Zurich

Friday, 12:15 - 13:30
Program (PDF, 125 KB)
Date Speaker Topic
20.09. Bruno Biais
Toulouse School of Economics
Variation margins, fire sales, and information constrained optimality
Paper (PDF, 453 KB)
27.09. Shmuel Baruch
University of Utah
The Distortion in Prices due to Passive Investing
Paper (PDF, 611 KB)
04.10. Ludovic Phalippou
Saïd Business School
How Alternative Are Private Markets?
Paper (PDF, 691 KB)
11.10. Ragnar Juelsrud
Norges Bank
Granular Credit Risk
Abstract (PDF, 73 KB)
18.10. Paul Ehling
Norwegian Business School
Tax Collection from Realized Capital Gains on Equity
Paper (PDF, 1 MB)
25.10. Lukas Schmid
Duke University
The Risks of Safe Assets
Paper (PDF, 965 KB)
01.11. Tim Schmidt-Eisenlohr
Federal Reserve Board
Institutional Investors, the Dollar, and U.S. Credit Conditions
Paper (PDF, 865 KB)
08.11. Federico Bandi
Johns Hopkins University
Spectral Factor Models
Paper (PDF, 1 MB)
15.11. Jörgen Haug
Options and Risk
Paper (PDF, 1 MB)
22.11. Heinz Zimmerman
University of Basel
Steady state analysis of market fundamentals: An exploration
Paper (PDF, 510 KB)
29.11. Michael Hasler
University of Texas at Dallas
Does the CAPM Predict Returns?
Paper (PDF, 563 KB)
06.12. Jules van Binsbergen
Wharton School
Risk-Free Interest Rates
Paper (PDF, 2 MB)
13.12. Marco Di Maggio
Harvard Business School
Second Chance: Life without Student Debt
Paper (PDF, 706 KB)
20.12. Matteo Crosignani
University of Michigan
Zombie Credit and (Dis-)Inflation: Evidence from Europe
Paper (PDF, 251 KB)

Details of past seminars can be found here.

Weiterführende Informationen


Room: KOL-E-21, University Centre, Entrance Rämistrasse 71, 8006 Zurich

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