Showing 1 - 10 of 30
The 17th Colloquium on Financial Markets addresses both academics and practitioners interested in the field of asset management. The colloquium provides a unique platform to discuss the latest issues in asset management. We particularly encourage submissions of papers on all areas of asset...
Topics: - Systemic risk measurement - Risk mitigation policies - Corporate governance practices - Lending and bank business models - Bank resolution procedures and the future of too big too fail
This small, informal conference features presentations of high quality theoretical or empirical research papers on financial intermediation.
Themen (u.a.): - Gesellschaftliche, rechtliche und versicherungstechnische Rahmenbedingungen der Privatversicherung, - Entwicklungsperspektiven des Geschäftsmodells der Privatversicherung, - Neuregelung der betrieblichen Altersversorgung – Betriebsrentenstärkungsgesetz; - Aktuelles aus der...
We welcome submissions of high-quality research on all topics related to financial institutions. Topics includes, but is not limited to, the theory of financial intermediation; financial sector performance and risk; market-making institutions; banking and the real economy; syndicated lending and...
The Risk Theory Society is a group of economists, financial economists, and actuaries who undertake theoretical and applied research in the areas of insurance economics, financial economics related to insurance markets, actuarial science, and more generally in the economic analysis of risk and...
Tagungsprogram: - Niedrigzins und Solvency II: Lösungskonzepte in der Lebensrückversicherung. - Drittstaaten-Rückversicherung - Protektionismus durch Regulierung? - M&A in the reinsurance sector. - Data Analytics in der nicht-substitutiven Krankenversicherung. - Blockchain -...
Thema der Tagung: "Start up und Corporate Venturing"
Topics: - Capital flows to emerging markets and the role of global and idiosyncratic factors in driving banking, portfolio flows and asset prices in emerging markets, - The impact of policy normalisation in developed economies on liquidity and credit conditions in emerging markets, - The impact...
The global financial and economic crisis in 2008/2009 has shown the critical importance of the financial sector for macroeconomic activity. In response, many policy makers and academic scholars have focused their attention on the link between financial markets and the real economy. Topics: -...
Created in cooperation with RFE-Resources for Economists of the American Economic Association (AEA)