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The pre-conference workshop aims to invite research that explicitly looks at interlinkages between climate policy, financial markets and questions of public finance. We welcome empirical and theoretical contributions that discuss the following questions: - What are the regulatory risks of carbon...
All topics in financial econometrics are acceptable, but with some preference given to topics that are in line with the theme of the summer school. Topics: - The econometrics of parametric option pricing inference under alternative asymptotic settings (large and short time spans, large and short...
The Annual Seminar on Risk, Financial Stability and Banking aims at bringing together private sector specialists and leading economists from academia, central banks and multilateral institutions to stimulate debate and research on risk analysis, financial stability, banking, prudential...
IWFSAS 2017 aims at providing an opportunity for established and emerging researchers and policy makers to discuss the merits and risks of diversity in the financial system architecture, particularly in terms of the links between diversity and systemic risk, impact on financial stability and...
The workshop provides a platform to discuss changes in the regulatory framework of the financial sector, their impact on financial stability, and consequences for the real sector. We invite theoretical and empirical contributions on topics including: - regulation, firms and financial...
This conference seeks to contribute to the ongoing research into financial regulation, combining approaches by economists, legal experts, political scientists, geographers and historians. It aims to adopt an empirical approach from a comparative and historical perspective to characterize public...
This annual central bank workshop gives researchers, policy-makers and practitioners the opportunity to discuss theoretical work, empirical findings and policy implications related to the microstructure of financial markets. Authors are encouraged to submit papers from all areas of market...
Original papers subject to high academic standards and preferably with important policy or practical implications are invited, for example, on the following topics, though not restricted to them: - The growth an business cycle effects of shifting demographics - Demographics and the financial...
The financial crisis and the European debt crisis in the euro have increased the interest in the early detection of financial constraints, as credit crunches affect investment decisions of firms and saving decisions of households. Economic tendency surveys and surveys in general are one...
The aim of the conference is to bring together academics and practitioners to discuss state-of-the-art results in the field of financial market liquidity. These topics include: - Market Liquidity and Funding Liquidity; - Liquidity Aspects of Systemic Risk; - Game Theoretic Aspects of Liquidity...
Created in cooperation with RFE-Resources for Economists of the American Economic Association (AEA)