Ranking Financial Centers from the Perspective of the Real Economy: the price of going public in the UK and US

Kevin James (Systemic Risk Centre, LSE)

Macroprudential Policy Making in Practice: The Swiss Experience

Jean-Pierre Danthine (Paris School of Economics)

Central Bank Finances: how does their P&L matter, if at all? [Seminar Supported by AXA Research Fund]

David Archer (Bank for International Settlements)

Optimal Bank Regulation in the Presence of Credit and Run Risk

Anil Kashyap (Chicago Booth)

Learning from History: Volatility and Financial Crises 

Ilknur Zer

Risk premia at the ZLB: a macroeconomic interpretation

Francois Gourio (Chicago Federal Reserve Banks)

Minimum payments and debt paydown in consumer credit cards

Jialan Wang (University of Illinois)

The Real Effect of Financial Networks

Co-Pierre Georg

Restructuring Sovereign Debt after NML v Argentina [Seminar supported by AXA Research Fund]

Lee Buchheit (Cleary Gottlieb)

Nonlinearity and Flight to Safety in the risk-return trade-off for stocks and bonds

Tobias Adrian (Federal Reserve)