Seminar videos 2012-2013

21.09.2012
Darrell Duffie, Stanford University Graduate School of Business
Measuring corporate default risk premia 2000–2010

28.09.2012
Elias Albagli, University of Southern California, Marshall School of Business
Investment horizons and asset prices under asymmetric information

05.10.2012
Jin Chuan DUAN, National University of Singapore
Corporate Default Prediction and Designing the RMI Coporate Vulnerability Index

05.10.2012
Brent GLOVER, Carnegie Mellon University, Tepper School of Business
Idiosyncratic Risk and the Manager

26.10.2012
Konstantinos E. ZACHARIADIS, London School of Economics
The Impact of Security Trading on Corporate Restructurings

16.11.2012
Anastasia KARTASHEVA, Bank for International Settlements
Precision of Ratings

23.11.2012
Yaniv GRINSTEIN, Cornell University, Johnson Graduate School of Management
Good Monitoring, Bad Monitoring

07.12.2012
Ian Martin, Stanford GSB and LSE
Simple variance swaps

14.12.2012
François Degeorge, University of Lugano and SFI
Is the rise of secondary buyouts good news for investors?

21.12.2012
Alex Edmans, Wharton School, University of Pennsylvania
Financing through asset sales

18.01.2013
Evgeny LYANDRES, Boston University
What determines investment and operating strategies of public and private firms: Theory and Evidence

25.01.2013
Paolo GHIRARDATO, University of Torino
Ambiguity in the small and in the large (download pdf)

01.02.2013
Sergei Tsyplakov, University of Southern Carolina
The incentive effects of contingent capital

08.02.2013
Miguel FERREIRA, Nova School of Business and Economics, Lisbon
Equity Lending, Investment Restrictions and Fund Performance

15.02.2013
Daniel PARAVASINI, London School of Economics
The information and agency effects of scores: Randomized evidence from credit committees

22.02.2013
Natalie Moyen, University of Colorado
Corporate Cash Holdings and Credit Line Usage

01.03.2013
Christopher Hennessy, London School of Economics
Demand-Based Security Design

08.03.2013
Andrew KAROLYI, Cornell University, Johnson Graduate School of Management
Regulatory arbitrage and cross-border bank acquisitions

15.03.2013
Sebastian GRYGLEWICZ, Erasmus University Rotterdam
Dynamic Agency and Real Options

22.03.2013
Darren KISGEN, Boston College
The Real and Financial Effects of Credit Ratings: Evidence from Moody’s Adjustments

12.04.3013
Margarita TSOUTSOURA, The University of Chicago, Booth School of Business
Tax Evasion across Industries: Soft Credit Evidence from Greece

17.05.2013
Andrea Eisfeldt, UCLA
Measuring the Financial Soundness fo US Firms 1926-2012