Richard Berner
Professor of Management Practice, NYU Stern Department of Finance
Co-Director, Volatility and Risk Institute
44 W. 4th St, New York, NY 10012
E-mail: rb4146@stern.nyu.edu or rberner@stern.nyu.edu
Office Phone: 212-998-0881
Professor of Management Practice, NYU Stern Department of Finance
Co-Director, Volatility and Risk Institute
44 W. 4th St, New York, NY 10012
E-mail: rb4146@stern.nyu.edu or rberner@stern.nyu.edu
Office Phone: 212-998-0881
Selected Publications
SVB and Beyond: The Banking Stress of 2023, eds. Viral Acharya, Matthew Richardson, Kermit Schoenholtz, and Bruce Tuckman, July 2023.
“Governance Issues in the Crypto Ecosystem,” with William Coen and Carolyn Wilkins, Brief V in the Bretton Woods Committee Digital Finance Project Team, April, 2023
“Investor Protection, Market Integrity, and Financial Stability in Digital Finance,” with Douglas Elliott and Mahesh Kotecha, Brief IV in the Bretton Woods Committee Digital Finance Project Team, October 13, 2022
“Financial Stability: Still Unfinished Business,” Macroprudential Matters, October 6, 2022
“Climate Stress Testing,” with Hyeyoon Jung and Robert Engle, Federal Reserve Bank of New York Staff Report No. 977, September, 2021, revised June 2022.
“The Data Reporting Challenge: U.S. Swap Data Reporting and Financial Market Infrastructure,” with Robin Doyle and Kenneth Lamar, SSRN, December, 2020; Ch 23 in Jens-Hinrich Binder and Paolo Saguato (eds), Financial Market Infrastructure: Law and Regulation (OUP, 2021)
Teaching
Managing Climate, Cyber, Geopolitical and Financial Risks: An Integrated Approach, FINC-GB.2375/FINC-UB.75, Fall 2023 Syllabi
Business, Economy and Policy in the midst of COVID-19, INTA-GB.2324/MULT-UB.24, Fall 2020
Risk Management and Financial Stability, Spring 2018 and Spring 2019