Finance Seminar Series - Winter term 2014/2015

The seminar takes place every Tuesday from 4:15 p.m. to - 5:30 p.m. in room "Deutsche Bank" in the House of Finance. Paper download (PDF) will be enabled when available.
Organizer: Holger Kraft, Thomas Mosk
Assistant: Sebastian Wagner
We gratefully acknowledge financial support by Alfons und Gertrud Kassel Stiftung and the Center of Excellence "Sustainable Architecture for Finance in Europe" (SAFE).
Former Seminars: 

Summer term 2019Winter term 2018/2019
Summer term 2018Winter term 2017/2018
Summer term 2017Winter term 2016/2017
Summer term 2016Winter term 2015/2016
Summer term 2015Winter term 2014/2015
Summer term 2014Winter term 2013/2014
Summer term 2013Winter term 2012/2013
Summer term 2012Winter term 2011/2012
Summer term 2011Winter term 2010/2011
Summer term 2010Winter term 2009/2010
Summer term 2009Winter term 2008/2009
Summer term 2008Winter term 2007/2008
Summer term 2007Winter term 2006/2007
Summer term 2006Winter term 2005/2006
Summer term 2005

Winter term 2004/2005



Date:Speaker:Affiliation: Topic:
1.21.OktMatti KeloharjuAalto UniversityInitial Offer Precision and M&A Outcomes 
2.28.OktSøren Leth-PetersenUniversity of CopenhagenHousing Collateral, Credit Constraints and Entrepreneurship - Evidence from a Mortgage Reform
3.4.NovPeter FeldhütterLondon Business SchoolThe Credit Spread Puzzle - Myth or Reality?
4.11. NovDiego GarciaUniversity of North CarolinaThe kinks of financial journalism
5. 18. NovAndrea Buraschi

Imperial College Business School

Monetary Policy and Treasury Risk Premia
6.25. NovSuleyman BasakLondon Business SchoolA Model of Financialization of Commodities
7.2.DezKelly ShueChicago Booth School of BusinessDecision-Making under the Gambler’s Fallacy: Evidence from Asylum Judges, Loan Officers, and Baseball Umpires
8.9.DezGünter StroblFrankfurt School of Finance and Management

Credit Ratings: Strategic Issuer Disclosure and Optimal Screening

9.20. JanFilippo IppolitoUniversitat Pompeu Fabra, BarcelonaA New Perspective on Bank-Dependency: The Liquidity Insurance Channel
10.27. JanBo BeckerStockholm School of Economics Insolvency resolution and the missing high yield bond markets
11.10. FebNicolas Serrano-VelardeBocconi Universitytba
12.17. MarDavid SolomonUSC Marshall School of BusinessBeing Surprised by the Unsurprising: Earnings Seasonality and Stock Returns
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