Past Seminars scroll-down Filter by ProgrammeFinancial Markets Group- Capital Markets--- Paul Woolley Centre- Financing the Real Economy- Financial Risk and Regulation--- Systemic Risk Centre Filter by seminar seriesCapital Markets WorkshopLondon Financial Regulation 01/03/2016 The Political Economy of Bank Bail-Outs Rainer Haselmann 16/02/2016 The invisible hand of the government: Moral suasion during the sovereign debt crisis Neeltje van Horen 26/01/2016 Foreign Exchange Markets with Last Look Álvaro Cartea 04/12/2015 Network Uncertainty and Interbank Markets Matthew Pritsker 30/11/2015 The Great Financial Plumbing Karel Lannoo 27/11/2015 Model Risk Cultures Andreas Tsanakas 20/11/2015 When Do Laws and Institutions Affect Recovery Rates on Collateral? Hans Degryse 06/11/2015 Markups, Productivity and the Financial Capability of Firms Carlo Altomonte 03/07/2015 Marking to Market versus Taking to Market Guillaume Plantin 19/06/2015 Insecure Debt Enrico Perotti 12/06/2015 Extreme Risk Dependence Evarist Stoja 05/06/2015 Unorthodox monetary policy, local fiscal policy, and loan pricing Michael Koetter 22/05/2015 The Euro Repo Interbank Market Angelo Ranaldo 08/05/2015 Fear, Anger and Credit: On Bank Robberies and Loan Conditions Steven Ongena 13/03/2015 Global Asset Allocation Shifts Andreas Schrimpf 06/03/2015 Monetary Policy Propagation and Uncertainty Esteban Prieto Pagination First page ⏴⏴ Previous page ⏴ Page 1 Page 2 Page 3 Page 4 Current page 5 Page 6 Page 7 Next page ⏵ Last page ⏵⏵
16/02/2016 The invisible hand of the government: Moral suasion during the sovereign debt crisis Neeltje van Horen