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 02/05/2014 Prime Broker-Level Comovement in Hedge Fund Returns: Information or Contagion? Byoung Uk Kang 20/03/2014 Sovereign, Bank and Insurance Credit Spreads: Connectedness and System Networks Loriana Pelizzon 07/03/2014 Mark-to-Market Accounting and Systemic Risk: Evidence from the Insurance Industry Andrew Ellul 28/02/2014 A network analysis of the E-mid interbank market: implications for financial stability Giulia Iori 31/01/2014 From evolving to temporal networks: the impact on spreading Claudio Tessone 24/01/2014 Taking uncertainty seriously: simplicity versus complexity in financial regulation Sujit Kapadia 03/12/2013 Distress and systemic risk in financial networks Stefano Battiston Pagination First page ⏴⏴ Previous page ⏴ Page 1 Page 2 Page 3 Page 4 Page 5 Page 6 Current page 7
02/05/2014 Prime Broker-Level Comovement in Hedge Fund Returns: Information or Contagion? Byoung Uk Kang
20/03/2014 Sovereign, Bank and Insurance Credit Spreads: Connectedness and System Networks Loriana Pelizzon
07/03/2014 Mark-to-Market Accounting and Systemic Risk: Evidence from the Insurance Industry Andrew Ellul
28/02/2014 A network analysis of the E-mid interbank market: implications for financial stability Giulia Iori
24/01/2014 Taking uncertainty seriously: simplicity versus complexity in financial regulation Sujit Kapadia