Macro-Finance Reading Group
In Fall 2017 a group of graduate students from the Department of Economics and the Carlson School of Management launched a reading group in the topics of macro-finance. We presented papers and discussed them. Here I list all the presentations we had during our meetings.
- "Agency Costs, Net Worth, and Business Fluctuations" (B. Bernanke and M. Gertler, AER 1989).
- "Credit Cycles" (N. Kiyotaki and J. Moore, JPE 1997).
- "Agency Costs, Net Worth, and Business Fluctuations: A Computable General Equilibrium Analysis" (C. Carlstrom and T. Fuerst, AER 1997).
- "Macro, Money, and Finance: A Continuous-Time Approach" (M. Brunnermeier and Y. Sannikov, Handbook of Macroeconomics 2016).
- "Intermediary Asset Pricing" (Z. He and A. Krishnamurthy, AER 2013).
- "A Model of Unconventional Monetary Policy" (M. Gertler and P. Karadi, JME 2011).
- "Bank Runs, Deposit Insurance, and Liquidity" (D. W. Diamond and P. H. Dybvig, JPE 1983).
- "Collateral and Capital Structure" (A. A. Rampini and S. Viswanathan, JFE 2013).
- "Financial Frictions and the Persistence of History: A Quantitative Exploration" (F. J. Buera and Y. Shin, JPE 2013).
- "Capital Requirements in a Quantitative Model of Banking Industry Dynamics" (D. Corbae and P. D'Erasmo).