13. November, 2024, 12:00 - 01:00, OMP1, SR 6 |
Francesco Sannino, Frankfurt School of Finance and Management | Committing to Trade: A Theory of Intermediation |
23. October, 2024, 12:00 - 01:00, OMP1, SR 6 |
Andrew Winton, University of Minnesota | Slippery Slope or Tip of the Iceberg? A Model of Detected and Undetected Financial Misreporting |
09. October, 2024, 12:00 - 01:00, OMP1, SR 6 |
Sapnoti Eswar, University of St. Andrews | Cross-border Patenting and Corporate Debt Capacity |
19. June, 2024, 12:00 - 01:00, OMP1, SR 1 |
Stefan Schantl, University of Melbourne | The Performance-Activism Relation: Financial Reporting, Governance Transparency, and Activists' Target Selection |
12. June, 2024, 12:00 - 01:00, OMP1, SR 3 |
Jan Starmans, Stockholm Schools of Economics | Dynamic Green Disclosure Requirements |
29. May, 2024, 12:00 - 01:00, OMP1, SR 3 |
Matthijs Breugem, Collegio Carlo Alberto | The Term Structure of Market Efficiency |
8. May, 2024, 12:00 - 01:00, OMP1, SR 3 |
Tommaso Oliviero, Universität Neapel Federico II | Mutual Funds and Climate News |
24. April, 2024, 12:00 - 01:00, OMP1, SR 1 |
Magdalena Rola-Janicka, Imperial College London | Social Responsibility: Citizens vs. Shareholders |
17. April, 2024, 12:00 - 01:00, OMP1, SR 3 |
Sheran Deng (University of Vienna) | A Model of Financing Climate Change Adaptation |
13. March, 2024, 12:00 - 01:00, OMP1, SR 3 |
Markus Parlasca, WU (Wirtschaftsuniversität Wien) | Voting and Trading on Proxy Advice |
8. November 2023, 12:00 - 01:00, OMP1, SR 3 |
Spyros Terovitis (University of Amsterdam) | How Financial Markets Create Superstars |
27. September 2023, 12:00 - 01:00, OMP1, SR 3 |
Diego García (University of Colorado) | News Consumption in the Wild |
25. September 2023, 12:00 - 01:00, OMP1, SR 3 |
Philip Bond (University of Washington) | ESG: A Panacea for Market Power? |
7. Juni 2023, 12:00 - 01:00, OMP1, SR 3 |
Julian Kolm (University of Vienna) | Financing and Resolving Banking Groups |
24. Mai 2023, 12:00 - 01:00, OMP1, SR 6 |
Julio Crego (Tilburg University) | Machine Learning and Expected Returns |
17. Mai 2023, 12:00 - 01:00, OMP1, SR 3 |
Hendrik Hakenes (University of Bonn) | Your Carbon Footprint (Including Financial Investments) |
16. Mai 2023, 12:00 - 01:00, OMP1, SR 6 |
Emanuel Moench (Frankfurt School of Finance & Management) | Safe asset shortage and collateral reuse |
26. April 2023, 12:00 - 01:00, OMP1, SR 3 |
David Pothier (Universität Wien) | Endpräsentation Jubiläumsfondsproject Nr.:18621 |
19. April 2023, 12:00 - 01:00, OMP1, SR 3 |
Falko Fecht (Deutsche Bundesbank) | Financial Fragility in open-ended Mutual Funds: the Role of Liquidity Management Tools |
29. March 2023, 12:00 - 01:00, OMP1, SR 3 |
Tamara Nefedova (ESCP Business School) | On the Origin of IPO Profits |
29. March 2023, 12:00 - 01:00, OMP1, SR 3 |
Sheran Deng (Univ. Wien) | Motivating Green Investment |
15. March 2023, 12:00 - 01:00, OMP1, SR 3 |
Jan Schneemeier (Indiana University) | Socially Responsible Divestment |
25. January 2023, 12:00 - 01:00, OMP1, SR 16 |
Roberto Pinto (Lancaster University Management School) | Corporate Pension Risk-Taking in a Low Interest Rate Invironment |
18. January 2023, 12:00 - 01:00, OMP1, SR 16 |
Dirk Niepelt (Universität Bern) | Money and Banking with Reserves and CBDC |
11. January 2023, 12:00 - 01:00, OMP1, SR 16 |
Christian Westheide (Univ Wien) | Broker colocation and the execution costs of customer and proprietary orders |
14. December 2022, 12:00 - 01:00, OMP1, SR 16 |
Eva Schliephake (UCP) | Responsible Investment and Responsible Consumption |
30. November 2022, 12:00 - 01:00, OMP1, SR 16 |
Patrick Weiss (WU) | Non-Standard Errors in Portfolio Sorts |
09. November 2022, 12:00 - 01:00, OMP1, SR 16 |
Tomy Lee (CEU) | Why Trade Over the Counter? |
19. October 2022, 12:00 - 01:00, OMP1, SR 16 |
Paul Voss (CEU) | The Evolution of the Market for Corporate Control |
12. October 2022, 12:00 - 01:00, OMP1, SR 16 |
Nick Gantchev (Warwick) | Sustainability or Performance? Ratings and Fund Manager's Incentives |
05. October 2022, 12:00 - 01:00, OMP1, SR 16 |
Danis Andras (CEU) | Shadow Inflation |
08. June 2022, 12:00 - 01:00, OMP1, SR 5 |
Jessica Jeffers (Univ. of Chicago) | Impact Investing risk and return |
25. May 2022, 12:00 - 01:00, OMP1, SR 15 |
Max Bruche(HU Berlin) | Financial Development, Government Debt and Economic Performance: Evidence from Bank Deregulation in China |
18. May 2022, 12:00 - 01:00, OMP1, SR 13 |
Francesco Sangiorgi (Univ. von Frankfurt) | The Short-Termism Trap: Competition for Informed Investors under Stock-Based CEO Compensation |
11. May 2022, 12:00 - 01:00, OMP1, SR 15 |
Walter Dominik (WU Wien) | Equity Duration, Cashflow Timing and the Term Structure of Equity |
30. March 2022, 05:30 - 06:30 online via zoom meeting |
Martin Szydlowski (Univ. of Minnesota) | Harnessing the Overconfidence of the Crowd: A Theory of SPACs |
23. March 2022, 12:15 - 13:15 online via zoom meeting |
Florian Exler (Univ. Wien) with Alexander Hansak | Naive Consumers and Financial Mistakes |
16. March 2022, 12:15 - 13:15, OMP1, SR 15 |
Ruediger Weber (WU Wien) | Money in the Right Hands: The Price Effects of Specialized Demand |
26. January 2022, 12:15 - 13:15, online via zoom meeting |
Stefanie Schraeder (Univ Wien) | Risk-Sharing Supplier Relationships and Investment Financing Decisions |
12. January 2022, 12:15 - 13:15, online via zoom meeting |
Mike Mariathasan (KU Leuven) | Optimal Bank Leverage and Recapitalization in Crowded Markets |
15. December 2021, 12:15 - 13:15, hybrid: OMP1, HS 12 and via zoom meeting |
Alex Stomper (Humboldt Universität zu Berlin) | Risk and Employment: Banking on Snow |
24. November 2021, 12:15 - 13:15, online via zoom meeting |
Sheran Deng (Univ Wien) | Regulating a Firm with Agency Problems |
10. November 2021, 12:15 - 13:15, OMP1, HS 12 |
Anton van Boxtel (Univ Wien) | Competition, Common Agency, and the Need for Financial Intermediation |
20. October 2021, 12:15 - 13:15, OMP1, SR 1 |
David Pothier (Univ Wien) | Optimal Timing of Policy Interventions in Troubled Banks |
13. October 2021, 12:15 - 13:15, OMP1, SR 1 |
Vincent Maurin (Swedish House of Finance) | The Design of a Central Counterparty |
09. June 2021, 12:15 - 13:15, online via zoom meeting
Jurica Zrnc (Univ Wien) | The Trade Credit Clearinghouse: Liquidity and Coordination |
26. May 2021, 12:15 - 13:15, online via zoom meeting
Florian Exler (Univ Wien) | Balance Sheet Dynamics of Households in Financial DistressConsumption and Stock Returns: Levels vs. Growth for Conditional Asset Pricing |
12. May 2021, 12:15 - 13:15, online via zoom meeting
Alessandro Melone (VGSF/Univ Wien) | Consumption and Stock Returns: Levels vs. Growth for Conditional Asset Pricing |
28. April 2021, 12:15 - 13:15, online via zoom meeting
Tobias Berg (Frankfurt School of Finance and Management) | Leverage and Risk-Taking |
14. April 2021, 12:15 - 13:15, online via zoom meeting
Rüdiger Weber (WU) | Risk Sharing Within and Outside the Firm: The Disparate Effects of Employment Protection on Expected Stock Returns |
24. March 2021, 12:15 - 13:15, online via zoom meeting
Phillipp Gnan (WU) | Who Talks During Monetary Policy Quiet Periods, and Why? Evidence from the European Central Bank's Governing Council |
10. March 2021, 12:15 - 13:15, online via zoom meeting
Diemo Dietrich (Newcastle University) | Speculative and Precautionary Demand for Liquidity in Competitive Banking Markets |
9. December 2020, 12:15 - 13:15, online via zoom meeting
Naveen Gondhi (INSEAD) | Choosing to disagree in Financial Markets |
25. November 2020, 12:15 - 13:15, online via zoom meeting | | Roberto Pinto (Lancaster University) | Bargaining and Debt Structure |
11. November 2020, 12:15 - 13:15, online via zoom meeting | | Guenter Strobl (Univ Wien) | Lying to Speak the Truth: Selective Manipulation and Improved Information Transmission |
28. October 2020, 11:45 - 12:45, online via zoom meeting | | Jungsuk Han (Stockholm School of Economics) | The More Illiquid, The More Expensive: A Search-Based Explanation of the Illiquidity Premium |
21. October 2020, 11:45 - 12:45, online via zoom meeting | | Enrico Sette (Bank of Italy) | Interlocking Directorates and Competition in Banking |
14. October 2020, 11:45 - 12:45, online via zoom meeting | | Peter Hoffmann (ECB) | Discriminatory Pricing of Over-the-Counter Derivatives |
27. April 2020, 12:00 - 13:00, online via zoom meeting | | Jing Zeng (Univ Wien) | Does the tail wag the dog? Unconventional monetary policy and credit contractions (with Falko Fecht) |
22. January 2020, 11:45 - 12:45, OMP1 SR 6 | | Agnese Leonello (ECB) | The Interdependence of Bank Capital and Liquidity |
8. January 2020, 11:45 - 12:45, OMP1 SR 6 | | Kilian Rieder (OeNB) | Should monetary policy lean against the wind? |
18. December 2019, 11:45 - 12:45, OMP1 SR 6 |
Fabio Feriozzi (IE Business School) | Managerial Entrenchment an the Market for Talent |
11. December 2019, 11:45 - 12:45, OMP1 SR 6 |
Matan Tsur (Uni Wien) | Efficient Investment and Search in Matching Markets |
27. November 2019, 11:45 - 12:45, OMP1 SR 6 |
Giorgia Simion (WU) | Supply Side Effects in Household Bank Holdings |
13. November 2019, 11:45 - 12:45, OMP1 SR 6 |
David Pothier (Uni Wien)) | The Dark Side of Bank Transparency |
23. October 2019, 11:45 - 12:45, OMP1 SR 6 |
Filippo De Marco (Bocconi) | Bank Competition and Information Production |
09. October 2019, 11:45 - 12:45, OMP1 SR 6 |
Ruediger Weber (WU) | Institutional Ownership and Time Variation in Expected Stock Returns |
14. August 2019, 11:45 - 12:45, OMP1 SR 4 |
Christian Westheide (Universität Wien) | A Tale of Two Cities: Inter-Market Latency, Market Integration, and Market Quality |
12. June 2019, 11:45 - 12:45, OMP1 SR 13 |
Sergio Vicente (Queen Mary University) | Lending with credit scores and loan officers |
5. June 2019, 11:45 - 12:45, OMP1 SR 13 |
Vicente Bermejo (ESADE) | Entrepreneurship and Regional Windfall Gains: Evidence from the Spanish Christmas Lottery |
22. May 2019, 11:45 - 12:45, OMP1 SR 13 |
Frederic Malherbe (University College London) | Beyond Pangloss: Financial sector origins of inefficient economic booms |
08. May 2019, 11:45 - 12:45, OMP1 SR 13 |
John Kuong (INSEAD) | Dealer Funding and Market Liquidity |
10. April 2019, 11:45 - 12:45, OMP1 SR 13 |
Anatoli Segura (Bank of Italy) | Equity allocation and risk-taking in the intermediation chain |
03. April 2019, 11:45 - 12:45, OMP1 SR 13 |
Constanze Fay (WU) | Earnings Transparency, Idiosyncratic Volatility and Crash Risk: Evidence from Hong Kong |
27. March 2019, 11:45 - 12:45, OMP1 SR 13 |
Michael Andreasch (OeNB) | Current Account Surplus and the Purchase of Bank Bonds by Households |
20. March 2019, 11:45 - 12:45, OMP1 SR 6 |
Jing Zeng (Frankfurt School of Finance) | Off-Balance Sheet Funding, Voluntary Support and Investment Efficiency |
1. February 2019, 09:30 - 10:30, OMP1 SR 6 |
Julian Kolm (University of Vienna) | Resolution of Multinational Banks |
9. January 2019, 11:45 - 12:45, OMP1 SR 6 |
Philipp Koenig (Deutsche Bundesbank) | Rollover Risk, Bank Borrowing and Fragility |
12. December 2018, 11:45 - 12:45, OMP1 SR 6 |
Guillaume Vuillemey (HEC Paris) | Completing Markets with Contracts: Evidence from the First Central Clearing Counterparty |
5. December 2018, 11:45 - 12:45, OMP1 SR 6 |
Anton van Boxtel (University of Vienna) | Credit Market Competition and Liquidity |
28. November 2018, 11:30 - 12:30, OMP1 SR 6 |
Ibolya Schindele (National Bank of Hungary) | The Impact of Monetary Conditions on Bank Lending to Households |
20. November 2018, 15:00 - 16:30, OMP1 SR 16 |
Lukas Menkhoff (DIW Berlin) | Active learning fosters financial behavior: Experimental evidence |
31. January 2018, 11:45 - 12:45, OMP1 SR 6 |
Maria Teresa Gonzalez-Perez (CUNEF) | Understanding the international spillovers of volatility expectations |
6. December 2017, 11:45 - 12:45, OMP1 SR 6 |
Sergey Zhuk (University of Vienna) | Rational Inattention and Counter-Cyclical Lending Standards |
26. April 2017, Wed., 11:30 - 12:30, OMP1 SR 13 |
Diemo Dietrich (Newcastle University) | Bank Stability, Liquidity, and Asset Prices |
May 25, 2016, 11:30-13:00, OMP1 SR 13 |
Marianne Andries (Toulouse School of Economics) | Asset Pricing with Horizon-Dependent Risk Aversion (with Thomas Eisenbach and Martin Schmalz) |
May 11, 2016, 11:45-12:45, OMP1 SR 13 |
Diemo Dietrich (Newcastle University) | On interbank borrowing and lending between financially constrained banks (with A. Hauck) |
4. May 2016, Wed., 11:30-13:00, OMPl SR 13 |
Rene Levinsky (Max Planck Institute of Economics) | Gains from trade and prices in an electronic call auction with insider trading -- An experimental analysis |
27. April 2016, Wed., 11:30-13:00, OMPl SR 13 |
Özlem Dursun-de Neef (Aarhus University) | The causal relationship between bank capital and loan supply (with A. Schandlbauer) |
6. April 2016, Wed., 11:30-13:00, OMPl SR 13 |
Maria Chiara Iannino (University of Vienna) | Did the Basel process of capital regulation enhance the resiliency of European banks? (with T. Gehrig) |
June 24, 2015, 12:00-13:00, OMP1 SR13 |
Sergey Zhuk (University of Vienna) | Inventory Risk with Persistent Liquidity Shocks |
June 10, 2015, 12:00-13:00, OMP1 SR13 |
Christian Westheide (University of Mannheim) | High-Frequency Trading and Fundamental Price Efficiency |
May 27, 2015, 11:45 – 12:45, OMP SR6 |
Jean-Stéphane Mésonnier (Banque de France) | Can the provision of long-term liquidity help to avoid a credit crunch? Evidence from the Eurosystem's LTROs |
May 13, 2015, 12:00-13:00, OMP1 SR13 |
Anton van Boxtel (Institute for Advanced Studies) | Trader Compensation; Bank Risk and the Banking Labour Market |
April 22, 2015, 12:00-13:00, OMP1 SR13 |
Agnese Leonello (ECB) | Government Guarantees and the two-way feedback between banking and sovereign debt crisis |
April 15, 2015, 12:00-13:00, OMP1 SR1 |
Anna Obizhaeva (New Economic School) | Intraday Trading Invariance in the E-Mini S&P 500 Market |
January 28, 2015, 11:45-12:45, OMP SR6 |
Christina Scherrer (Aarhus University) | Cross listing: price discovery dynamics and exchange rate effects |
January 21, 2015, 11:45-12:45, OMP SR6 |
Gökhan Cebirolgu (University Vienna) | Order exposure and Liquidity Coordination |
December 17, 2014, 11:45-12:45, OMP SR6 |
Joao Mergulhao (School of Economics Sao Paulo) | Directors' Networks and Information Asymmetry: Impact on corporate finance decisions |
December 3, 2014, 11:45-12:45, OMP SR6 |
Sergey Zhuk (University Vienna) | Estimating the Size of the Nominal Price Effects |
November 26, 2014, 11:45-12:45, OMP SR6 |
Mike Mariathasan (University Vienna) | Bailout and Moral Hazard: How Implicit Government Guarantees affect Financial Stability |
November 12, 2014, 11:45-12:45, OMP SR6 |
Jin Cao (Norges Bank) | Capital Adequacy and Liquidity in Banking Dynamics |
November 5, 2014, 11:45-12:45, OMP SR6 |
>Marius Zoican (VU University Amsterdam) | Banking Union Optimal Design under Moral Hazard |
October 29, 2014 11:45-12:45, OMP SR6 |
Sergei Kovbasyuk (Toulouse School of Economics) | Advertising Arbitrage |
October 22, 2014, 11:45-12:45, OMP SR6 |
Marlene Haas (VGSF) | Stock Trading in the Early 20th Century: The Panic of 1907 |
October 15, 2014 11:45-12:45, OMP SR6 |
Peter Hoffman (ECB) | Sand in the Chips? Evidence on Taxing Transactions in Modern Markets |
June 25, 2014, 12:00-13:00, OMP SR13 |
Ibolya Schindele (Magyar Nemzeti Bank) | In Euroized and Francized Lands: Bank Lending Channels Run Through? |
June 11, 2014, 12:00-13:00, OMP SR13 |
Angel Tengulov (VGSF) | The Impact of Borrowing Diversity on Financial and Real Decisions in a Company |
June 4, 12014, 12:00-13:00, OMP SR13 |
Mrdjan Mladjan (EBS Business School) | The Effects of Bank Failure on Labor Productivity during the Great Depression |
Mai 28, 2014, 12:00 – 13:00 OMP SR13 |
Julia Reynolds (VGSF) | The Commonality in Liquidity Dimensions: A Generalized Dynamic Factor Model Approach |
Mai 21, 2014, 12:00-13:00, OMP SR13 |
Silvio Petriconi (Bocconi University) | Bank Competition, Information Choice and Inefficient Lending Booms |
Mai 7, 2014, 12:00-13:00, OMP SR13 |
Leonidas Barbopoulos (University of St Andrews) | Acquirers’ gains from earnouts: Cross-border versus domestic acquisitions |
April 30, 2014, 12:00-13:00, OMP SR13 |
Natalia Bailey (Queen Mary) | A Two Stage Approach to Spatiotemporal Analysis with Strong and Weak Cross-Sectional Dependence |
April 9, 2014, 12:00-13:00, OMP SR13 |
Franz Hahn & Werner Hoelzl (WIFO Vienna) | Does Bank Capital Make Bankers Complacent? |
March 19, 2014, 12:00-13:00, OMP SR13 |
Artashes Karapetyan (Norges Bank) | Size and Ownership of Private Credit Bureaus |
March 12, 2014, 12:00-13:00, OMP SR13 |
Guglielmo-Maria Caporale (Brunel University London) | Fiscal Spillovers in the Euro Area |
March 5, 2014, 12:00-13:00, OMP SR13 |
Vania Stavrakeva (London Business School) | Optimal Bank Regulation and Fiscal Capacity |
January 22, 2014, 12:00-13:00, OMP SR1 |
Jean-Edouard Colliard (ECB) | Cash providers: asset dissemination over intermediation chains |
January 15, 2014, 12:00-13:00, OMP SR1 |
Matan Tsur (University of Vienna) | Financial Contracts and Bargaining |
December 18, 2013, 12:00-13:00, OMP SR1 |
Michal Kowalik (Kansas City Fed) | To sell or to borrow? A Theory of Bank Liquidity Management |
December 11, 2013, 12:00-13:00, OMP SR1 |
Claus Puhr (OeNB) | A View from the Top - The Interaction between Solvency and Liquidity Stress, with Stefan W. Schmitz (Austrian National Bank) |
December 4, 2013, 12:00-13:00, OMP SR1 |
Maria Chiara Iannino (University of Vienna) | Intraday herding around stock splits, with M. Verardo (London School of Economics) |
November 27, 2013, 12:00-13:00, OMP SR1 |
Julian Kolm (VGSE) | Bank Regulation: Management Compensation and Capital, with G.Loranth (University of Vienna) |
November 20, 2013, 12:00-13:00, OMP SR1 |
Christoph Basten (ETH Zurich / Financial Market Supervisory Authority FINMA) | House Prices, Mortgage Demand, and Mortgage Supply, with C. Koch (University of Zurich) |
November 13, 2013, 12:00-13:00, OMP SR1 |
Maria Chaderina (WU) | Predators, Prey and Volatility on Wall Street, with R. Green (Carnegie Mellon) |
November 6, 2013, 12:30-13:30, OMP SR1 |
Christoph Bertsch (Sveriges Riksbank) | A detrimental feedback loop: deleveraging and adverse selection |
October 30, 2013,12:00-13:00, OMP SR1 |
Dieter Hess (University of Cologne) | The good, the bad, and the lucky: Projected earnings accuracy and profitability of stock recommendations, with O. Pucker (University of Cologne) |
October 23, 2013, 12:00-13:00, OMP SR1 |
Nicolas Serrano-Velarde (Università Bocconi) | Bankruptcy Law and the Cost of Banking Finance, with G. Rodano (Bank of Italy) and E. Tarantino (University of Bologna) |
October 16, 2013, 12:00-13:00, OMP SR1 |
Otto Randl (WU) | Fund Promotion and Individual Investor Fund Flows, with E. Dockner and P. Halling (WU) |
October 9, 2013, 12:00-13:00, OMP SR1 |
Co-Pierre Georg (GBS Cape Town / Bundesbank / Oxford) | A Network View on Money Market Freezes, with P.Abbasi (Bundesbank) and S. Gabrieli (Banque de France) |
June 12, 2013, 12:00-13:00, BWZ SR1 |
Jianying Qiu (Radboud University Nijmegen) | Valuation with Multiple Priors: Experimental Evidence |
June 5, 2013, 12:00-13:00, BWZ SR1 |
Ming Yang (Duke University) | Security Design in a Production Economy with flexible Information Acquisition |
May 29, 2013, 12:00-13:00, BWZ SR1 |
Martin Summer (OeNB) | Credit Risk in General Equlibrium |
May 22, 2013, 12:00-13:00, BWZ SR1 |
Marlene Haas (VGSF) | Lehman Brothers: What did the Market know? |
May 15, 2013, 12:00-13:00, BWZ SR1 |
Martin Schmalz (University of Michigan) | Up Close It Feels Dangerous: 'Anxiety' in the Face of Risk |
May 8, 2013, 12:00-13:00, BWZ SR1 |
Ming-Jin Jiang (University of Vienna) | Personal Bankruptcy Law and Small Firms Profitability |
April 17, 2013, 12:00-13:00, BWZ SR1 |
Julie Elston (Oregon State University) | Risk Attitudes and Financing of US High Technology Entrepreneurs: An Experimental Data Approach |
March 27, 2013, 12:00-13:00, BWZ HS8 |
Michela Rancan (European University Institute, Florence) | Macro-Networks. An Application to the Euro Financial Accounts |
March 22, 2013, 10:00-11:00, BWZ SR1 |
Giuliano Bianchi (University of Bologna) | The Effect of Price Targets on the Composition of CEO Pay |
March 21, 2013, 9:00-10:00, BWZ SR1 |
Mike Mariathasan (University of Oxford) | The Manipulation of Basel Risk-Weights |
January 30, 2013, 12:00-13:00, BWZ SR 1 |
Christa Hainz (Ifo Institute Munich) | How does relationship banking influence credit financing: Evidence from the financial crisis |
January 23, 2013, 12:00-13:00, BWZ SR1 |
Arben Mustafa (National Bank of Kosovo) | The Relationship between Competition and Risk-Taking in the Bank Sectors of Transition Economics |
January 9, 2013, 12:00-13:00, BWZ SR1 |
Stefan Palan (University of Graz) | To See is to Believe: Common Expectations in Experimental Asset Markets |
December 12, 2012, 12:00-13:00, BWZ SR 1 |
Sergey Zhuk (University of Vienna) | Revealing Downturns |
December 5, 2012, 12:00-13:00, BWZ SR 1 |
Ralph Spitzer (OeNB) | Financial Stability and Macroeconomic Stress Testing from a Central Bank's Perspective |
November 28, 2012, 12:00-13:00, BWZ SR 1 |
Dorje Brody (Brunel University London) | Noise, Risk Premium, and Bubble |
November 14, 2012, 12:00-13:00, BWZ SR 1 |
William Cheung (University of Vienna) | Option Trading and Firm Performance: Informed or Uninformed? |
October 31, 2012, 12:00-13:00, BWZ SR 1 |
Özlem Dursun-de Neef (VGSF) | The Transmission of Liquidity Shocks to the Real Economy |
October 17, 2012, 12:00-13:00, BWZ SR 2 |
Thomas Gehrig (University of Vienna) | Loan Sales and Screening Incentives |
June 20, 2012, 12:00-13:00, BWZ SR 1 |
Natalia Bailey (University of Cambridge) | Exponent of Cross-sectional Dependance: Estimation and Inference |
June 6, 2012, 12:00-13:00, BWZ SR2 |
Roberto Savona (University of Brescia) | Hedge Fund Systemic Risk Signals |
May 30, 2012, 12:00-13:00, BWZ SR2 |
Martin Summer (OeNB) | Leverage and Asset Pricing in General Equilibrium and in Double Auctions |
May 16, 2012, 12:00-13:00, BWZ SR2 |
Marcelo Fernandes (Queen Mary University of London) | Conditional alphas and realized betas |
May 9, 2012, 12:00-13:00, BWZ SR 2 |
Michela Verardo (LSE London) | Does herding behavior predict mutual fund performance? |
April 25, 2012, 12:00-13:00, BWZ SR2 |
Lane P. Hughston (UCL London) | General Lévy models for asset pricing, interest rates, and scenario analysis |
March 29, 2012, 11:00-12:30, BWZ SR2 |
Sergey Zhuk (Princeton University) | Speculative Bubbles and Real Investment |
March 21st, 2012, 12:00-13:00, BWZ SR2 |
Julian Kolm (VGSE) | Capital Regulation and Securitization |
February 21, 2012, 11:00-12:30, BWZ SR2 |
Vladimir Vladimiro (Goethe University Frankfurt) | Financing Bidders in Takeover Auctions |
February 20, 2012, 11:00-12:30, BWZ SR2 |
Steffen Juranek (Goethe University Frankfurt) | Vertical Integration, Competition, and Financial Exchanges: Is there Grain in the Silo? |
February 15, 2012, 11:00-12:00, BWZ SR2 |
Martin Schmalz (Princeton University) | Managing Human Capital Risk |
February 2, 2012 11:00-12:30, BWZ SR2 |
Peter Pontuch (Université Paris-Dauphine) | Financing Constraints, Product Market Competition, and Business Cycle Sensitivity |
January 18, 2012, 11:00-12:30, BWZ SR1 |
Mario Bersem (Univ. of Mannheim and Amsterdam) | Incentive-Compatible Sovereign Debt |
January 11, 2012, 12:00, BWZ SR2 |
Christopher Scharl | dissertation proposal |
December 14, 2011, 12:00, BWZ SR2 |
Thomas Gehrig (University of Vienna) | Scattered Trust – Did the 2007-08 financial crisis change risk perceptions? |
November 30th, 2011, 12:00, BWZ SR2 |
Max Bruche (CEMFI) | Walking Wounded or Lving Dead? Making Banks Foreclose Bad Loans |
September 30, 2011 |
Marc Arnold (Universität Zürich) | The Impact of Managerial Control over Cash on Credit Risk and Financial Policy |
June 22, 2011, 09:30, Leopold Schmetterer Seminarraum, ISOR, Universitätsstraße 5 |
Gyöngyi Lóránth (University of Vienna) | Liquidity Coinsurance and Bank Capital |
June 8, 2011, 12:00, BWZ SR3 |
Jörg Borrmann (University of Vienna) | The Timing of Repeated and Unrepeated Monopoly Investment under Wear and Tear and Demand Growth |
May 25, 2011, 12:00, BWZ SR1 |
Tomas Sedliacik (University of Vienna) | Socially Responsible Investing |
May 18, 2011, 12:00, BWZ HS8 |
Natalia Ivanova (University of Vienna) | Optimal Entrepreneurial Policy in the Presence of Agency Costs |
May 11, 2011, 12:00, BWZ |
Stephan Unger (WU) | Market Liquidity Measurement |
April 13, 2011, 12:00, BWZ |
Mariya Teteryatnikova | Resilience of the Interbank Network to Shocks and Optimal Bail-Out Strategy: Advantages of “Tiered Banking Systems |
February 4, 2011, 14:00, BWZ SR3 |
Vincent Fardeau (London School of Economics) | Strategic Liquidity Provison and Predatory Trading |
February 3, 2011, 14:00, BWZ SR3 |
Maria Chiara Iannino (Queen Mary University London) | Stock Splits and Herding |
January 27, 2011, 12:00, BWZ SR1 |
Thomas Pfeiffer (University of Vienna) | External Financing and Project Selection |
January 19, 2011, 12:00, BWZ SR1 |
Jianying Qiu (University of Vienna) | Reference Point and the Disposition Effects: An Experimental Analysis |