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2017

11 décembre (14:30-15:30 – salle 7)
Pierre-Olivier Weill (UCLA) « Financial Intermediation and asset pricing with imperfect collateral »

22 novembre (11:30-12:30 – salle 6)
Jasmina Arifovic (University of Vancouver) “Central bank communication and evolution of heterogenous expectations”

12 octobre (14:30-15:30 – salle 5)
Giovanni Caggiano (University of Padova) “Time-Dependent Finance-Uncertainty Multipliers”

9 octobre (11:30-12:30 – salle 1)
Eduardo Davila (University of Melbourne) “Optimal joint bond design”

7 juin (11:30-12:30 – salle 3)
Régis Barnichon (CREI)
« Assessing the long-run effects of financial crises»

24 mai (11:30-12:30 – salle 6)
Christian Eufinger (IESE)
« Whatever it takes : the real effects of unconventional monetary policy »

18 avril (14:30-15:30 – salle 3)
Miguel Ferreira (Nova School of Business Economics)
« Bank ratings and lending supply : evidence from sovereign downgrades»

30 mars 2017 (14:30-15:30- salle 1)
Athanasios Orphanides (MIT)
"The fiscal policy mix in the euro area : challenges at the zero lower bound"

10 janvier (11:30-12:30 – salle 1)
Francesco Zanetti (University of Oxford) “Time-Varying news in business cycles ?”

Updated on: 01/18/2018 11:22