2010 | ||
---|---|---|
Time | Speaker/Affiliation | Title |
Thu 2 Dec 2010 10:30–12:00 |
Ass. Prof. Saku Aura University of Missouri |
A Simple Positive Theory of Government Land Sales |
Thu 4 Nov 2010 10:30–12:00 |
Prof. Markku Kaustia Aalto University School of Economics |
What drives the heterogeneity in portfolio choice? The role of traditional, institutional, and behavioral factors |
Wed 6 Oct 2010 10:30–12:00 |
Ph.D. Jirí Slacálek European Central Bank |
Disagreement among forecasters in G7 countries |
Thu 2 Sep 2010 10:30–12:00 |
Ph.D. Erkko Etula Federal Reserve Bank of New York |
Funding Liquidity Risk and the Cross-Section of Stock Returns |
Wed 25 Aug 2010 10:30–12:00 |
Ph.D. Biliana Alexandrova-Kabadjova Banco de México |
Understanding bank failure: A close examination of rules created by Genetic Programming |
Wed 4 Aug 2010 at 10.00–11.30 Rauhankatu 19, Auditorium |
Ph.D. Jonathan Heathcote Federal Reserve Bank of Minneapolis |
Redistributive Taxation in a Partial-Insurance Economy |
Thu 6 May 2010 10:30–12:00 |
Prof. Markku Lanne University of Helsinki |
Optimal Forecasting of Noncausal Autoregressive Time Series |
Thu 8 Apr 2010 10:30–12:00 |
Ph.D. Samuel Reynard Swiss National Bank |
Modeling Monetary Policy |
Thu 4 Mar 2010 10:30–12:00 |
Ph.D. Student Qinwei Wang University of Cambridge |
Heterogeneous Expectations, Learning and Monetary Policy Rules in a Two-Country Model |
Tue 16 Feb 2010 13.00–14.30 Rauhankatu 19, Auditorium |
Dr. Richard Clarida Columbia University & NBER & PIMCO |
Currency Carry Trades |
Fri 5 Feb 2010 10:30–12:00 Rauhankatu 19, Auditorium |
Prof. Jaume Ventura Universitat Pompeu Fabra |
Theoretical Notes on Bubbles and the Current Crisis |
Thu 28 Jan 2010 10.30–12.00 Rauhankatu 19, Auditorium |
Prof. Fabrizio Zilibotti University of Zurich |
Growing like China |
Thu 14 Jan 2010 10:30–12:00 |
D.Sc. Chitro Majumdar R-square RiskLab |
Economic Risk Capital Measure & Credit Derivative Pricing Issues: Credit Tsunami and Beyond |
2009 | ||
Time | Speaker/Affiliation | Title |
Thu 3 Dec 2009 10.30–12.00 |
Academy Research Fellow Pauli Murto Helsinki School of Economics |
Exit Options and Dividend Policy under Liquidity Constraints |
Fri 6 Nov 2009 10.00–12.00 |
Prof. Kjell Nyborg University of Zurich, Swiss Banking Institute |
Money and liquidity in financial markets |
Thu 1 Oct 2009 10.30–12.00 |
Ph.D. Henri Pagès Banque de France |
Bank incentives and optimal CDOs |
Fri 18 Sep 2009 10.00–11.30 |
Prof. Volker Wieland Goethe University Frankfurt |
Keynesian government spending multipliers and spillovers in the euro area |
Thu 3 Sep 2009 10.30–12.00 |
Ph.D. Tiago Cavalcanti University of Cambridge |
The Welfare Gains of Financial Liberalization: Capital Accumulation and Idiosyncratic Risks |
Wed 2 Sep 2009 10.30–12.00 |
Ass. Prof. Alfred Guender University of Canterbury, NZ |
Instrument and Target Rules as Specifications of Optimal Monetary Policy |
Wed 3 Jun 2009 9.00–10.15 Rauhankatu 19, Auditorium |
Prof. Viral Acharya Stern School of Business, New York University |
Restoring Financial Stability: How to Repair a Failed System |
Thu 7 May 2009 10.30–12.00 |
Prof. Kai Leitemo Norwegian School of Management |
The price puzzle: Mixing the temporary and permanent monetary policy shocks |
Thu 2 Apr 2009 10.30–12.00 |
Prof. Matti Keloharju Helsinki School of Economics |
Do smart investors outperform dumb investors? |
Thu 5 Mar 2009 10.30–12.00 |
Prof. Klaus Adam Mannheim University |
Monetary Policy and Aggregate Volatility |
Fri 6 Feb 2009 10.30–12.00 Rauhankatu 19, Auditorium |
Prof. Jean-Charles Rochet Toulouse School of Economics |
The future of banking regulation: BASEL II after the crisis |
Thu 8 Jan 2009 10.30–12.00 |
Ass. Prof. Yrjö Koskinen Boston University |
The Euro and Corporate Financing |
2008 | ||
Time | Speaker/Affiliation | Title |
Fri 5 Dec 2008 10:30–12:00 |
Prof. Raghuram G. Rajan University of Chicago |
The Global Roots of the Current Financial Crisis and its Implications for Regulation |
Thu 4 Dec 2008 10:30–12:00 |
Ph.D. Christian Haefke Institute for Advanced Studies |
Wage Rigidity and Job Creation |
Thu 6 Nov 2008 10:30–12:00 |
Prof. Matti Suominen Helsinki School of Economics |
Arbitrage Capital and Currency Carry Trade Returns |
Thu 2 Oct 2008 10:30–12:00 |
Ph.D. Gyöngyi Lóránth University of Cambridge |
Internal Reporting System, Compensation Contracts, and Bank Regulation |
Thu 4 Sep 2008 10:30–12:00 |
Ass. Prof. Antonella Trigari Bocconi University |
An Estimated Monetary DSGE Model with Unemployment and Staggered Nominal Wage Bargaining |
Thu 8 May 2008 10:30–12:00 |
Prof. Charles M. Kahn University of Illinois at Urbana-Champaign & Bank of England |
Liquidity, Payment and Endogenous Financial Fragility |
Thu 3 Apr 2008 10:30–12:00 |
Ass. Prof. Silvia Marchesi University of Milano-Bicocca |
Agency and communication in IMF conditionality |
Thu 6 Mar 2008 10:30–12:00 |
Ph.D. Giacomo Carboni European Central Bank |
Inflation and Output Volatility under Asymmetric Incomplete Information |
Fri 15 Feb 2008 10:30–12:00 |
Ph.D. Candidate Paolo Zagaglia Stockholm University |
The term structure of interest rates and the monetary transmission mechanism |
Thu 10 Jan 2008 10:30–12:00 |
Prof. Ph.D. Erkki Koskela University of Helsinki |
Strategic outsourcing, profit sharing and equilibrium unemployment |
2007 | ||
Time | Speaker/Affiliation | Title |
Thu 13 Dec 2007 10:30–12:00 |
Ass. Prof. Samuli Knüpfer Helsinki School of Economics |
Bricks-and-mortar banks and stock market participation |
Thu 8 Nov 2007 10:30–12:00 |
Ph.D. Student Alina Barnett University of Warwick |
Inflation, Unemployment and Recursive Learning |
Thu 4 Oct 2007 10:30–12:00 |
Prof. Juuso Välimäki Helsinki School of Economics |
Dynamic Marginal Contribution Mechanism |
Thu 6 Sep 2007 10:30–12:00 |
Prof. Seppo Honkapohja University of Cambridge |
Liquidity Traps, Learning and Stagnation |