CFCM Workshop on "Systemic Risk, Financial Markets and the Post-Crisis Economy"

Date(s)
Thursday 9th (09:00) - Friday 10th May 2013 (15:30)
Description

Organised by the Centre for Finance and Credit Macroeconomics, Nottingham and co-funded by Money, Macro and Finance Research Group

Keynote Speakers:

Thursday 9th May - John Moore, University of Edinburgh

John Moore's Lecture Slides

Friday 10th May - Javier Suarez,  Centre for Monetary and Financial Studies (CEMFI), Madrid

 Conference Programme

Papers
 Toni Ahnert Bank Runs, Liquidity, and Macro-Prudential Regulation
 Sanjay Banerji Incentives, Risk Sharing and Wealth: A Model of Intrinsic Cycles
 Julia Giese The Credit-to-GDP Gap and Complementary Indicators for Macroprudential Policy: Evidence from the UK
 Christophe Perignon A Theoretical and Empirical Comparison of Systemic Risk Measures
 Javier Suarez Systemic Risk Taking and Capital Requirements
 Dimitrios Tsomocos An Integrated Framework for Analyzing Multiple Financial Regulations
 Wolf Wagner The Disturbing Interaction Between Countercyclical Capital Requirements  and Systemic Risk
 Tianxi Wang

Lend Out IOU: A Model of Money-Creating Banks and Unconventional Central Banking

 

Centre for Finance, Credit and Macroeconomics

Sir Clive Granger Building
University of Nottingham
University Park
Nottingham, NG7 2RD

Enquiries: hilary.hughes@nottingham.ac.uk