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We seek both empirical and theoretical policy-relevant papers. Areas of interest include but are not limited to: - Interactions between commodity prices and the macroeconomy - Macroeconomic effects of shocks to the terms-of-trade - Business-cycle spillovers and international co-movement -...
Topics of interest: - Unconventional monetary policies and normalization of the monetary policy and: the pricing of financial assets, the risk taking by banks, the spillover effects to other developed and emerging markets, the financial market liquidity. - Basel III capital and liquidity ratio...
The conference will focus on policy issues, quantitative methods and current challenges for public investors, and is intended to promote an exchange of innovative ideas among practitioners and academics, knowledge sharing and collaboration across organizations, and the development of best...
We solicit theoretical and empirical papers on the interactions between financial intermediation and sovereign debt markets. Topics: - Sovereign debt distribution: participants, auction mechanisms, and market outcomes, - Financial intermediation and the term structure of sovereign debt...
This conference will provide an opportunity for researchers from academia and central banks to discuss a wide range of theoretical and empirical issues regarding International Financial Markets. Topics: - International asset pricing and exchange rates - International spillovers of unconventional...
Proposed conference themes: Theme 1 - CCP default management; recovery and resolution; Theme 2 - FMI operations – technology; FMI applications of fintech; operational risk management; Theme 3 - FMI networks, interdependencies and resilience. Submissions are encouraged from policy-makers,...
The conference is targeted at experts from the community of central banks and sovereign wealth managers (including commodity savings funds and sovereign pension funds) as well as academics. It aims to facilitate an ongoing dialogue between the reserve and asset management specialists of the...
The subject of the conference is "Too Big to Fail Financial Institutions? International Perspectives and Possible Remedies" There will be an academic symposium on September 15-16, 2011, composed of a mixture of academics and practitioners from several regions with different experiences before...
Topics: quantitative measures the degree of cross-country risk sharing, and of the gains from risk sharing, based on micro and macro data; determinants of the degree of risk sharing; comparisons between interregional and international risk sharing; portfolio choices and international risk...
Topics Any research related to the microstructure of the foreign exchange and/or equity markets.
Created in cooperation with RFE-Resources for Economists of the American Economic Association (AEA)