Monetary policy and corporate investment: The equity financing channel, by Beyhaghi, Frank, McLemore, and Sanati, FRB Macro-Finance Workshop, May 2025.
Do banks price environmental risks? Only when local beliefs are binding! by Erten and Ongena, IBEFA Summer Meetings 2024, Jul 2024.
Foreign-borne interest rate risk: Effects of foreign deposits on monetary policy and bank balance sheets, by Ahmed, OCC Bank Research Symposium: Depositor Behavior, Bank Liquidity, and Run Risk, Jun 2024.
The making of an alert depositor: How payment and interest drive deposit dynamics, by Lu, Song and Zeng, BIS-CEPR-SCG-SFI Financial Intermediation Conference in Gerzensee, May 2024.
Monetary policy transmission through cross-selling banks, by Basten and Juelsrud, Inaugural Conference of the ESCB Research Network on Monetary Transmission (ChaMP), Apr 2024.
Quick on the draw: Liquidity risk mitigation in failing banks, by Ufier, Heitz, and Traczynski, 2024 Midwest Finance Association Annual Meeting, Mar 2024.
Liquidity provision and co-insurance in bank syndicates, by Kiernan, Yankov and Zikes, 2023 European Finance Association Annual Meeting, Aug 2023.
Evergreening, by Faria-e-Castro, Paul and Sanchez, NBER SI 2023 Capital Marekts and Economy, Jul 2023.
Specialization in banking, by Blickle, Parlatore and Saunders, 12th MoFiR Banking Workshop, Jul 2023.
Lending by servicing: Monetary policy transmission through shadow banks, by Agarwal, Hu, Roman and Zheng, Wake Forest University Empirical Macro Workshop, Mar 2023.
How did the banks finance PPP loans in 2020?, by Kowalik and Schueller, Southern Finance Association (SFA) Annual Conference, Nov 2022.
Three papers at the session on "Expanding inclusion of small businesses at the GSU-CEAR conference" on "Financial innovation: A threat to financial stability", Oct 2022.
A tale of two margins: Monetary policy and capital misallocation, by Albrizio, Gonzalez, and Khametshin, 2nd FINPRO Conference "Finance and productivity during and after the lockdown", May 2022.
Covid and public guarantees: Evidence with granular data, by Dasatti, Lluberas, Peydro and Ponce, Norges Bank/CEPR Frontiers in Banking Research Workshop, Nov 2021.
Government loan guarantees during a crisis: The effect of the PPP on bank lending and profitability, Blake Walsh and Sharma, Women in System Economic Research Conference, Nov 2021.
U.S. monetary policy and credit risk of new corporate credit lines, Liu and Stebunovs, FRB Macro-Finance Workshop , Oct 2021.
Capital controls, corporate debt and real effects, Fabiani, Pineros, Peydro, and Soto, IBEFA Young Economist Seminar Series (YESS) on financial economics, Jul 2021.
Exorbitant privilege? The bond market subsidy of prospective fallen angels, Acharya, Banerjee, Crosignani, Eisert, and Spigt, Oxford Said-ETH Zurich Risk Center Macro-Finance Conference, Jul 2021.
Corporate QE in Europe during the Covid-19 crisis and debt overhang, Demirguc-Kunt, Horvath and Huizinga, Bank of Spain CEBRA Session on "Financial Conditions and Policy Responses during the Covid-19 Pandemic", Jul 2021.
On the consequences of low interest rates for banks' funding: A meta-data analysis, Bussiere and coauthors, IBRN Summer Meetings, Jun 2021.
How do banking groups react to macroprudential policies? Cross-border spillover effects of higher capital buffers on lending, risk-taking and internal markets, Cappelletti, Marques, Salleo, and Vila Martin, BIS/Bundesbank Conference on "Evaluating financial regulation: Unintended effects and new risks," Apr 2021.
Why so negative? The effects of monetary policy on bank credit supply across the euro area, Bittner, Bonfim, Heider, Saidi, Schepens, and Soares, Federal Reserve "Week-ahead" Conference on Financial Markets and Institutions, Jan 2021.
Bank lending to (zombie?) firms, Jain and Choudhary, 2021 AEA/ASSA Virtual Meeting, Jan 2021.
Spillovers of funding dry-ups, Aldasoro, Balke, Barth, and Eren, 2020 MoFiR Banking Workshop, Jun 2020.
Forward looking loan provisions: Credit supply and risk-taking, Morais, Peydro, Roa, and Sarmiento, 2018 SEA Annual Meeting, Nov 2018.
The dollar, bank leverage, and the deviation from covered interest parity, Avdjiev, Du, Koch, and Shin, 2018 AEA/ASSA Annual Meetings, Jan 2018.
What drives global syndication of bank loans? Effects of bank regulation, Gao and Jang, Arne Ryde Conference on Financial Intermediation, Dec 2017.
The decline of solvency contagion risk, Bardoscia, Barucca, Codd, and Hill, 2017 Federal Reserve Stress Testing Research Conference, Oct 2017.
The effect of central bank liquidity injections on bank credit supply, Carpinelli and Crosignani, 5th MoFIR Workshop on Banking, Jun 2016.
Cross-border bank flows and monetary policy, Correa, Paligorova, Sapriza and Zlate, 3rd BIS-CGFS workshop on research on global financial stability, May 2016.
Is trouble brewing for EMEs? Ramos-Francia and Garcia-Verdu, Bank of Mexico Conference on Network models, stress-testing and macroprudential policy, Nov 2015.
Monetary policy implementation in an interbank network: Effects on systemic risk, Bluhm, Faia, and Krahnen, SNB Annual Research Conference, Sep 2015.
Loan loss provisioning in emerging Europe: Precautionary or procyclical? Bonin and Kosak, AEA/ASSA 2014 Annual Meetings, Jan 2014.
The impact of capital requirements on bank lending, Radia et al., INFINITI Conference, Jun 2013.
Sovereign credit risk contagion: A dynamical systems approach, Castellaci andChoi, FEBS/LabEx-ReFi Conference, Jun 2013.
"Financial stability and banks" panel papers at the Cleveland Fed/OFR Conference "Financial stability analysis: Using the tools, finding the data," May 2013.
Drivers of cross-border banking exposures during the crisis, Cerutti, WEAI 10th Biennial Pacific Rim Conference, Mar 2013.
Catharsis--The real effects of bank insolvency and resolution, Korte, Bundesbank Conference on The Stability of the European Financial System and the Real Economy in the Shadow of the Crisis, Jan 2013.