Discussions
Externalities of Responsible Investments
by Michele Bisceglia (TSE), Alessio Piccolo (Indiana) and Jan Schneemeir (Indiana)
FIRS Berlin (May, 2024)
Fintech Entry, Lending Market Competition and Welfare
by Xavier Vives (IESE) and Zhiqiang Ye (IESE)
MoFiR Workshop (July, 2023)
Bank Debt vs Mutual Fund Equity in Liquidity Provision
by Yiming Ma (Columbia), Kairong Xiao (Columbia) and Yao Zeng (Wharton)
Vienna Festival of Finance Theory (August, 2022)
Let the Worst One Fail: A Credible Solution to the Too-Big-To-Fail Conundrum
by Thomas Philippon (NYU) and Olivier Wang (NYU)
FIRS Budapest (June, 2022)
Dynamic Coordination and Bankruptcy Regulations
by Hongda Zong (LSE) and Zhen Zhou (Tsinghua University)
Humboldt-Bundesbank Workshop (October, 2021)
Lending Technologies and Lending Relationships
by Artashes Karapetyan (ESSEC) and Bogdan Stacescu (BI)
EuroFIT (June, 2021)
Persuading Experts in OTC Markets
by Francesco Sannino (Frankfurt School)
Junior European Finance Seminar (May, 2021)
Dealer Funding and Market Liquidity
by Max Bruche (HU Berlin) and John Kuong (INSEAD)
EFA Lisbon (August, 2019)
by Edouard Chrétien (INSEE) and Victor Lyonnet (Ohio State)
Baffi Carefin (March, 2019)
Bank Resolution and Public Backstop in a Banking Union
by Anatoli Segura (Banca d'Italia) and Sergio Vicente (Carlos III)
Baffi Carefin (October, 2018)
Bank Net Worth and Frustrated Monetary Policy
by Alexander Zentefis (Yale)
FIRS Barcelona (June, 2018)
Interventions in Markets with Adverse Selection
by Huberto Ennis (Richmond Fed)
OxFIT (August, 2017)
Rollover Risk, Liquidity and Macroprudential Policy
by Toni Ahnert (Bank of Canada)
Bank of Hungary (April, 2017)