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CSEF - Center for Studies in Economics and Finance

Wednesday, 15 January 2014 – h. 13.00
Federico Signoretti (Banca d'Italia)
The causes and Consequences of going public. Firm-level evidence from twelve European countries

Tuesday, 21 January 2014 – h. 17.00
Claire Celerier (University of Zurich)
Are Bankers Worth Their Pay? Evidence from a Talent Measure with B. Vallee

Tuesday, 28 January 2014 – h. 17.00
Andrea Beltratti (Università di Torino)
Banks risk-weights and cost of equity (with G. Paladino)

Wednesday, 29 January 2014 – h. 13.00
Edoardo Di Porto (Università degli Studi di Napoli Federico II)
The effect of local taxes on firm performance: evidence from microgeographic data with G. Santoni

Tuesday, 4 February 2014 – h. 17.00
Javier Suarez (Cemfi)
The Role of Liquidity Standards in Optimal Lending of Last Resort Policies with J.A.C. Santos

Tuesday, 11 February 2014 – h. 17.00
Martin Hellwig (MPI for Research on Collective Goods)
The Leverage Ratchet Effect with A.R. Admati, P. De Marzo and P. Pfleiderer

Tuesday, 18 February 2014 – h. 17.00
Kai Konrad (MPI for Tax Law and Public Finance)
Old Money, the Nouveau Riche and Brunhilde’s Marriage Dilemma with A.-K. Bronsert and A. Glazer

Wednesday, 19 February 2014 – h. 13.00
Tiziano Razzolini (Università di Siena)
Initial Labor Market Conditions and the Occupational Injury Risk (with F. Serti and R. Leombruni)

Tuesday, 25 February 2014 – h. 17.00
Luca Fanelli (Università di Bologna)
Monetary Policy Indeterminacy and Identification Failures in the U.S.: Results from a Robust Test with E. Castelnuovo

Wednesday, 26 February 2014 – h. 13.00
Asher Wolinsky (Northwestern Univesity)
A Common Value Auction with Bidder Solicitation (with S. Lauermann)

Wednesday, 5 March 2014 – h. 13.00
John Conley (Vanderbilt University)
An Empirical Guide to Choosing a Graduate Program and Hiring Assistant Professors in Economics

Tuesday, 11 March 2014 – h. 17.00
Josef Zechner (Vienna University)
Granularity of Corporate Debt Jaewon Choi and Dirk Hackbarth

Tuesday, 25 March 2014 – h. 17.00
Gernot Mueller (Bonn University)
Exit Expectations in Currency Unions with A.r Kriwoluzky and M. Wolf

Tuesday, 8 April 2014 – h. 17.00
Matthew Ellman (Institut d’Anàlisi Econòmica)
In Google we Trust? with R. Burguet and R. Caminal
download .pdf

Wednesday, 9 April 2014 – h. 13.00
Emanuele Tarantino (Università di Bologna)
Risk Management and Rating Segmentation in Credit Markets

Tuesday, 15 April 2014 – h. 17.00
Alessandro Gavazza (London School of Economics)
A Quantitative Analysis of the Retail Market for Illicit Drugs with Manolis Galenianos

Tuesday, 29 April 2014 – h. 17.00
Andre Veiga (Oxford University)
Product Design in Selection Markets with Glen Weyl

Tuesday, 6 May 2014 – h. 17.00
Guido Ascari (University of Oxford)
The Macroeconomics of Trend Inflation with Argia M. Sbordone

Wednesday, 7 May 2014 – h. 13.00
Chris Nosko (University of Chicago, Booth School of Business)
Quality Externalities and the Limits of Reputation in Two-Sided Markets with Steven Tadelis

Tuesday, 13 May 2014 – h. 17.00
Raoul Minetti (Michigan State University)
Financial Markets, Industry Dynamics, and Growth with Maurizio Iacopetta and Pietro Peretto

Wednesday, 14 May 2014 – h. 13.00
Benjamin Born (Mannheim University)
Does austerity pay off? with Gernot Mueller and Johannes Pfeifer

Tuesday, 20 May 2014 – h. 17.00
Benjamin E. Hermalin (University of California, Berkeley)
The Strategic Use of Download Limits by a Monopoly Platform with N. Economides

Wednesday, 21 May 2014 – h. 13.00
Petko Kalev (University of South Australia)
Algorithmic Trading in Volatile Markets

Tuesday, 27 May 2014 – h. 17.00
Fabrice Collard (University of Bern)
Booms and Banking Crises with Frédéric Boissay and Frank Smets

Tuesday, 10 June 2014 – h. 17.00
Matteo Iacoviello (Federal Reserve Board)
Collateral Constraints and Macroeconomic Asymmetries

Wednesday, 11 June 2014 – h. 13.00
Leandro D’Aurizio (Banca d'Italia)
An evaluation of the policies on repayment of Government’s trade debt in Italy with Domenico Depalo