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Capital Markets Workshops 2012

11 January 2012: Enrique Schroth (University of Amsterdam)
Search Frictions and the Liquidity of Controlling Blocks of Shares|  (PDF)

18 January 2012: Martin Schmalz (Princeton University)
Managing Human Capital Risk| (PDF)

25 January 2012: Andrea Tamoni (Bocconi University)
The multi-horizon dynamics of risk and returns|   (PDF)

1 February 2012: Rui Silva (University of Chicago)
"The Real Cost of Conglomerates"
There is no paper available for this event.

8 February 2012: Marianne Andries (University of Chicago)
Consumption-based Asset Pricing with Loss Aversion| (PDF)

15 February 2012: No seminar this week.

22 February 2012: Jaroslav Borovicka (University of Chicago)
Survival and long-run dynamics with heterogeneous beliefs under recursive preferences  | (PDF)

29 February 2012: Daniel Wolfenzon (Columbia University)
Estimating the Value of The Boss: Evidence from CEO Hospitalization Events|(PDF)

7 March 2012: John Moore (Edinburgh University/LSE)
Leverage Stacks and the Financial System| (

14 March 2012: Dirk Jenter (Stanford University)
CEO Preferences and Acquisitions|   (PDF)

25 April 2012: Sebastien Pouget (University of Toulouse)
The Bubble Game: An Experimental Study of Speculation|  (PDF)

2 May 2012: Lasse Pedersen (NYU Stern School of Business)
Embedded Leverage| also Betting Against Beta

|9 May 2012: Ilan Kremer (Stanford University)
The Optimal Design of Insurance Schemes for Preventing Liquidity Runs|  (PDF)

16 May 2012: Ronnie Sadka (Boston College)
Horizon Pricing
There is no available paper for this event. 

23 May 2012: Matthew Rhodes-Kropf (Harvard University)
Investment Cycles and Startup Innovation| and Financing Risk and Innovation| (PDF) 

30 May 2012: Andrea Eisfeldt (UCLA, Anderson School of Management)
Liquidity and Fragility in OTC Credit Derivatives Markets
There is no available paper for this event. 

6 June 2012: Hui Chen (MIT, Sloan School of Management)
Systematic Risk and Debt Maturity
13 June 2012: Joel Shapiro (Said Business School, Oxford University)
Ratings Quality over the Business Cycle| (PDF)

20 June 2012: There are no seminars this week

27 June 2012: Luke Taylor (Wharton School, University of Pennsylvania)
Dynamic Debt Runs and Financial Fragility: Evidence from the 2007 ABCP Crisis| (PDF) 
10 October 2012: Dimitris Papanikolaou (Kellogg School of Management, Northwestern University)
Technological innovation: Winners and losers

17 October 2012: Francisco Perez-Gonzalez (Stanford University)
Capital Structure and Taxes: What Happens When You (Also) Subsidize Equity?
There is no paper available for this event.

24 October 2012: Christian Hellwig (Toulouse School of Economics)
A theory of asset prices based on heterogeneous information| [PDF]

31 October 2012: Alex Edmans (Wharton School, University of Pennsylvania)
Contracting With Synergies| [PDF]

7 November 2012: Atif Mian (Princeton University)
What explains high unemployment? The aggregate demand channel| [PDF]

14 November Arthur Korteweg (Stanford University)
An Empirical (S,s) Model of Dynamic Capital Structure|  [PDF]

21 November 2012: Christopher Hennessy (London Business School)
Liquidity-Based Security Design: The Case of Uninformed Sellers| [PDF]

28 November 2012: Anna Pavlova (London Business School)
A Model of Financialization of Commodities
There is no paper available for this event.

5 December 2012: José-Luis Peydró (Universitat Pompeu Fabra, Barcelona)
Macroprudential Policy, Countercyclical Bank Capital Buffers and Credit Supply: Evidence from the Spanish Dynamic Provisioning Experiments| [PDF]

12 December 2012: Lars Hansen (Chicago University)
Examining Macroeconomic Models through the Lens of Asset Pricing| [PDF]