Financial Markets Seminars
Tue. 30 Sep. 2014
Research Seminar
The Booms and Busts of Beta Arbitrage
Christopher Polk
(University of London)
Tue. 16 Sep. 2014
Research Seminar
The Value of Trust: Corporate Social Responsibility Ratings and Stock Returns during the 2008-2009 Financial Crisis
Karl Lins
(University of Utah)
Thu. 4 Sep. 2014
Research Seminar
How Do Short-sale Costs Affect Put Options Trading? Evidence from Separating Hedging and Speculative Shorting Demands
Tse-Chun Lin
(University of Hong Kong)
Tue. 2 Sep. 2014
Research Seminar
Once Bitten, Twice Shy: Trusting the Stock Market in the Aftermath of the Financial Crisis
Kasper Nielsen
(Hong Kong University of Science and Technology)
Tue. 17 Dec. 2013
Research Seminar
Pension Design in the Presence of Systemic Risk
Stavros Panageas
(University of Chicago)
Tue. 10 Dec. 2013
Research Seminar
Corporate Governance and Risk Management at Unprotected Banks: National Banks in the 1890s
Mark Carlson
(Federal Reserve)
Tue. 26 Nov. 2013
Research Seminar
Insolvency Resolution and the Missing High Yield Bond Markets
Bo Becker
(Stockholm University)
Tue. 19 Nov. 2013
Research Seminar
Institutional Investors in Corporate Loans
Greg Nini
(University of Pennsylvania)
Tue. 5 Nov. 2013
Research Seminar
Risking Other People's Money: Gambling, Limited Liability and Optimal Incentives
Peter deMarzo
(Stanford University)
Tue. 29 Oct. 2013
Research Seminar
Corporate Prediction Markets: Evidence from Google, Ford, and Firm X
Eric Zitzewitz
(Dartmouth College)