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Your search for seminar resulted in 58 hits
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Matija Lozej (Central Bank of Ireland) - Who Gets Jobs Matters: Monetary Policy and the Labour Market in HANK and SaM -
Impact of AI on Economy, Finance and Supervision 13-14 November -
Seminars and conferences -
Christopher Gibbs (University of Sydney) - Optimal Monetary Policy when Expectations are Rational, Fixed, Learned, or Anything in Between -
Albert Queralto - Uncertainty Shocks, Global Banks, and Foreign Currency Arbitrage -
Etienne Lepers (OECD) - Evolving Drivers and Recomposition of Portfolio Flows to Emerging Markets: Evidence from Bilateral and Investment Fund-level Data -
Michael Ehrmann (ECB) - The Effect of Monetary Policy on Inflation Heterogeneity Along the Income Distribution -
Chang Ma (Fudan University) - The Spillover Effects of Real Estate -
Falk Laser (ABC economics, Berlin) - Currency Compositions of International Reserves - Recent Developments -
Andrei Markevich (University of Helsinki) - American Relief and the Soviet Famine of 1921-22 -
Iryna Stewen (University of Hamburg) - Trade Shock and Consumption Risk Sharing -
Tuuli McCully (BOFIT) and Riikka Nuutilainen (BOFIT): Bilateral trade relationships with Chinese characteristics – a gravity model approach to Chinese imports -
Roberto Chang (Rutgers University) - Should Central Banks Have an Inequality Objective? -
Juha Tervala (University of Helsinki) - Inefficiency Unveiled: A Bayesian DSGE Analysis of Public Investment in China -
Raoul Minetti (Michigan State University) - Banking Complexity in the Global Economy -
Heli Simola (BOFIT): Trade destruction and trade diversion – effects of trade sanctions on trade with Russia -
Jan Fidrmuc (Université de Lille) - Does education affect religiosity? Causal evidence from a conservative emerging economy -
Laurent Weill (University of Strasbourg) - Do Risky Banks Pay their Employees More? -
Yongjian Lyu (Southwest University of Finance and Economics) - Risk Spillovers from the Chinese Real Estate Market to the Financial System: Does Monetary Policy Uncertainty Matter? -
Menzie D. Chinn (University of Wisconsin) - The Predictive Power of the Term Spread and Financial Variables for Economic Activity across Countries -
Sonalika Sinha (Reserve Bank of India): Effectiveness of macroprudential regulations and capital controls – Evidence from India -
Renato Faccini (Danmarks Nationalbank) - Beyond the Phillips curve trade-off: How to decrease inflation while increasing aggregate demand -
Sebastian Schmidt (ECB) - Monetary-fiscal policy interactions with endogenous regime shifts -
IMF Seminar: World Economic Outlook Fall 2023 -
John Earle (George Mason University) - Damaged Collateral, Firm-Level Consequences, and Russia’s War in Ukraine -
Guanghua Wan (Fudan University) - Education Expansion and Income Inequality: Empirical Evidence from China -
Povilas Lastauskas (Queen Mary University of London) - Trade Persistence Heterogeneity -
Jean-Paul Renne (University of Lausanne) - Fiscal Fatigue, Fiscal Limits and Sovereign Credit Spreads -
Francis Warnock (University of Virginia) - Preferred Habitats and Timing in the World’s Safe Asset -
Çiğdem Börke Tunali (Istanbul University) - Migration and Regional Adjustment to Asymmetric Shocks in Turkey -
Abigail S. Hornstein (Wesleyan University) - Economic Growth, Sentiment and Uncertainty -
Luhang Wang (Xiamen University) - Productivity Growth in China’s Manufacturing Sector: 1998-2013 -
Andrew Foerster (Federal Reserve Bank of San Francisco) - Estimating Macroeconomic Models of Financial Crises: An Endogenous Regime-Switching Approach -
Sonalika Sinha (Reserve Bank of India) - Anatomy of a Liquidity Shock on Non-banks -
Søren Hove Ravn (University of Copenhagen) - The Transmission of Foreign Demand Shocks -
Sanjay Singh (University of California, Davis) - The financial origins of non-fundamental risk -
Ryan Kim (Johns Hopkins University) - Demonetization and Firm Exports -
Travis Ng (The Chinese University of Hong Kong) - Do Weak Contracting Institutions Impede the Formation of R&D Alliance: Evidence from China -
Matti Sarvimäki - Exposure(s) to Trade and Earnings Dynamics: Evidence from the Collapse of Finnish-Soviet Trade -
Lena Dräger - Inflation Literacy, Inflation Expectations, and Trust in the Central Bank: A Survey Experiment -
Christian Siegel (University of Kent) - Routine-biased technical change, structure of employment, and cross-country income differences -
Chunxia Jiang (University of Aderbeen) - The Drivers and Impacts of Bank Business Model Changes: The Global Evidence -
Olivier Coibion (UT Austin and NBER) : Average Inflation Targeting and Household Expectations -
Andrea Ferrero (University of Oxford): House Price Dynamics, Optimal LTV Limits and the Liquidity Trap -
Ragnar Juelsrud (Norges Bank): Granular credit risk -
Benjamin Keen (University of Oklahoma): Modeling the Asymmetric Effects of an Oil Price Shock -
Petri Jylhä (Aalto University): Leverage Constraints and Portfolio Choice -
Gregory de Walque (NBB): Low pass-through and high spillovers in NOEM: what does help and what does not -
Pascal Paul (San Francisco Fed): Banks, Maturity Transformation, and Monetary Policy -
Simon Kwan (San Francisco Fed): Tracking Financial Fragility -
Francesco Pappada (Paris School of Economics): Exchange rate regime and firm dynamics -
Hernán Seoane (Universidad Carlos III de Madrid): Welfare Costs of Sovereign Debt Crises: the Role of Bailouts -
Bora Durdu (Federal Reserve Board) : The Role of U.S. Monetary Policy in Banking Crises across the World -
Alexandros Kontonikas (Essex Business School): Monetary Policy and Corporate Lending: Evidence from the Reserve Channel -
Guido Traficante (European University of Rome): Government Debt Deleveraging in the EMU -
Michal Rubaszek (SGH Warsaw School of Economics): The predictive power of equilibrium exchange rate models -
Caterina Mendicino (ECB): Bank Risk Taking and Twin Defaults -
Aaron Mehrotra (BIS): Interest rate spillovers from the United States: expectations, term premia and uncertainty