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Capital Market Workshops 2011

12 January 2011: Bo Becker (Harvard Business School)
Cyclicality of Credit Supply: Firm Level Evidence|  (PDF)

19 January 2011: Jörg Rocholl (European School of Management & Technology) 
Skin in the Game: Evidence from the Online Social Lending Market |(PDF)

26 January 2011: Thomas Eisenbach (Princeton University)
Rollover Risk: Optimal but Inefficient|  (PDF)

2 February 2011: Yihui Pan (University of Minnesota)
The Determinants and Impact of Executive-Firm Matches| (PDF)

9 February 2011: Richard Townsend (Harvard University)
Propagation of Financial Shocks: The Case of Venture Capital| (PDF)
16 February 2011: Andrey Malenko (Stanford Graduate School of Business)
Optimal Design of Internal Capital Markets|  (PDF)

23 February 2011:  Mathias Kronlund (University of Chicago)
Best Face Forward: Does Rating Shopping Distort Observed Bond Ratings?| (PDF)
2 March 2011: Carsten Bienz (NHH)
The Defeasance of Control Rights| (PDF)

9 March 2011: Guillaume Plantin (Toulouse)
Carry Trades, Monetary Policy and Speculative Dynamics| (PDF)

16 March 2011: Gustavo Manso (MIT Sloan School of Management)
Feedback Effects of Credit Ratings| (PDF)

23 March 2011:  Ulrike Malmendier (University of California, Berkeley)
Cash is King - What the Market Learns about Targets through Merger Bids|  (PDF)

4 May 2011: Yuliy Sannikov (Princeton University)
The I-Theory of Money
There is no paper available for this event. 

11 May 2011: Oliver Hart (Harvard University) 
Inefficient provision of inside money by banks| (PDF)

18 May 2011: Martin Oemkhe (Columbia University)
Should Derivatives be Senior?| (PDF)

25 May 2011: Lasse Pedersen (NYU)
Betting Against Beta|  (PDF)

1 June 2011: Malcolm Baker (Harvard University) 
Dividends as Reference Points: A Behavioral Signalling Model |  (PDF)  

8 June 2011: Jonathan Lewellen  (Dartmouth)
Investment and cash flow: New evidence| (PDF)

15 June 2011: Luigi Zingales  (University of Chicago)
Time Varying Risk Aversion |  (PDF)

22 June 2011: No seminar this week 

29 June 2011: Michael Fishman (Northwestern)
Uninformed Lending and Government Support of Loan Markets
There is no paper available for this event.

5 October 2011: Adriano Rampini (Duke University)
Dynamic Risk Management| 

12 October 2011: Robert Marquez (Boston University) 
Specialization, Productivity and Financing Constraints  |(PDF)

19 October 2011: Ravi Bansal (Duke University)
Volatility, the Macroeconomy and Asset Prices  |(PDF)

26 October 2011: Lubos Pastor (University of Chicago Booth School of Business)
Political uncertainty and risk premia  |  (PDF)

2 November 2011: Andrew Ellul (Indiana University, Kelley School of Business)  
Stronger Risk Controls, Lower Risk: Evidence from U.S. Bank Holding

9 November 2011: Murillo Campello (Cornell University) 
Is the Stock Market Just a Side Show? Evidence from a Structural Reform  |   (PDF)

16 November 2011: Peter DeMarzo (Stanford Graduate School of Business
Risking Other People's Money: Gambling, Limited Liability, and Optimal Incentives
There is no paper available for this event.

23 November 2011:  Gara Afonso (Federal Reserve Bank, New York)
Trade Dynamics in the Market for Federal Funds
There is no paper available for this event.

30 November 2011: Francis Longstaff (UCLA, Anderson School of Management)

Systemic Sovereign Credit Risk: Lessons from the U.S. and Europe|    (PDF)

7 December 2011: Jialin Yu (Columbia University)
A Glass half full: Contrarian trading in the flash crash | (PDF)