Sections
Past Seminars
Collateral and Secured Debt
30 APR 2021 (Fri)
Prof. S Vish Viswanathan, Duke
Do the Rich Gamble in the Stock Market? Low Risk Anomalies and Wealthy Households
26 APR 2021 (Fri)
Prof. Turan Bali, Georgetown University
VC for the Masses: the Rise of SPACs
23 APR 2021 (Fri)
Prof. Barney Hartman-Glaser, UCLA
Social Proximity to Capital: Implications for Investors and Firms
16 APR 2021 (Fri)
Prof. Theresa Kuchler, NYU
A Credit-Based Theory of the Currency Risk Premium
09 APR 2021 (Fri)
Prof. Pasquale Della Corte, Imperial College
Expectations and Bank Lending
26 MAR 2021 (Fri)
Prof. Jose-Luis Peydro, Imperial College and Universitat Pompeu Fabra
A Model of Endogenous Risk Intolerance and LSAPs: Asset Prices and Aggregate Demand in a "Covid-19" Shock
19 MAR 2021 (Fri)
Prof. Alp Simsek, Chicago Booth
CEO Compensation : Evidence From the Field
12 MAR 2021(Fri)
The Market for Benchmarks: Evidence from ETFs
12 MAR 2021(Fri)
Prof. Alex Edmans, LBS
Measuring The Welfare Effects Of Adverse Selection In Consumer Credit Markets
18 DEC 2020 (Fri)
Prof. Constantine Yannelis, Chicago Booth