SI 2015 Risks of Financial Institutions
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Itzhak Ben-David, Francesco Franzoni, Rabih Moussawi, John Sedunov
The Granular Nature of Large Institutional Investors -
Taylor Begley, Amiyatosh Purnanandam, Kuncheng Zheng
The Strategic Under-Reporting of Bank Risk -
Richard Stanton, Johan Walden, Nancy Wallace
Securitization Networks and Endogenous Financial Norms in U.S. Mortgage Markets -
Stefan Avdjiev, Patrick Bolton, Wei Jiang, Anastasia Kartasheva, Bilyana Bogdanova
CoCo Issuance and Bank Funding Costs -
Itay Goldstein, Hao Jiang, David Ng
Investor Flows and Fragility in Corporate Bond Funds -
Benjamin Chabot, Christian Brownlees, Eric Ghysels, Christopher Kurz
Back to the Future - Backtesting Systemic Risk Measures During the Great Depression and Historical Bank Runs -
Guillaume Plantin
Marking to Market versus Taking to Market
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