How Alternative Are Alternative Investments? The Case of Private Equity Funds

Elise Gourier

How can regulators learn about financial innovations and their risks?

Martin Etheridge (Head of Division, Bank of England with responsibility for Fintech)
Christopher Woolard (Executive FCA Board member and Director of Strategy and Competition, Financial Conduct Authority)

Relative Pay for Non-Relative Performance: Keeping up with the Joneses with Optimal Contracts

Ron Kaniel  (University of Rochester)

Auditor Responsibilities toward Bank Regulators

Hannah Scobie (Chairman, European Economics and Financial Centre)

A Day Late and a Dollar Short: Liquidity and Household Formation among Student Borrowers

Constantine Yannelis (NYU Stern School of Business)

Does finance have a future?

Thomas Huertas (Partner and Chair, EY Global Regulatory Network, Ernst & Young)

Does Incomplete Spanning in International Financial Markets Help to Explain Exchange Rates?

Adrien Verdelhan (MIT)

The Waterfall Illusion, and How Prior Exposure to Extreme Risk Distorts Risk Perception

Elise Payzan-LeNestour

Central Banking in Turbulent Times

Francesco Papadia (Chair of the Selection Panel of the Hellenic Financial Stability Fund (HFSF), Senior Fellow at Bruegel)

TechFin in China: Credit Market Completion and its Growth Effect

Yi Huang

For richer, for poorer. Banker’s liability and risk taking in New England, 1867-1880

Peter Koudijs (Stanford)