The Riksbank’s Research Division holds a series of seminars where international researchers present their research. These seminars are usually held once a week on Tuesdays between 13:00 and 14:00 including questions and comments from the participants.
If you have any questions, please contact Erik von Schedvin.
E-post: Erik.vonSchedvin@riksbank.se
January 2015
13/1
Tuesday 13:00
Rob Alessie, University of Groningen
When you need it or when I die? Timing of monetary transfers from parents to children
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16/1
Friday 13:00
Patrik Sandås, University of Virginia
Does Trading Anonymously Enhance Liquidity?
More
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20/1
Tuesday 13:00
Alexander Popov, ECB
Sovereign stress, non-conventional monetary policy, and SME access to finance
More
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27/1
Tuesday 13:00
Jae Sim, Federal Reserve Board
Financial Heterogeneity and Monetary Union
More
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February 2015
24/2
Tuesday 13:00
Francesco Sangiorgi (SSE) and Jungsuk Han (SSE)
Searching for Information
More
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March 2015
3/3
Tuesday 13:00
Fabrizio Mattesini, Tor Vergata, Rome
Cash-in-the-Market Asset Pricing in a Monetary Model with Over-the-Counter Asset Markets
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10/3
Tuesday 13:00
Wilbert Van Der Klaauw, Federal Reserve Bank of New York
Inflation Expectations and Behavior: Do Survey Respondents Act on their Beliefs?
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11/3
Wednesday 10:00
Richard Harrison, Bank of England
Transitory interest-rate pegs under imperfect credibility
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17/3
Tuesday 13:00
Pontus Rendahl, Cambridge University
Fiscal Policy in an Unemployment Crisis
More
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24/3
Tuesday 13:00
Nicolas Vincent, HEC Montreal
On the Importance of Sales for Aggregate Price Flexibility
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31/3
Tuesday 13:00
Per Strömberg, Stockholm School of Economics
"Since you’re so rich, you must be really smart”:Talent and the finance wage premium
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April 2015
8/4
Wednesday 13:00
Clodomiro Ferreira, London Business School Barcelona
Monetary policy when households have debt: new evidence on the transmission mechanism
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14/4
Tuesday 13:00
Raphael Schoenle, Brandeis University
YOLO: Can Subjective Life-Expectancies Explain Household Investment Puzzles?
More
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20/4
Monday 13:00
Kostantinos Theodoridis, Bank of England
Cross-Country Co-movement in Long-Term Interest Rates: A DSGE Approach
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21/4
Tuesday 13:00
Pierpaolo Benigno, Luiss
Monetary Policy Consequences of Central-Bank Balance Sheet
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May 2015
11/5
Monday 11:00
Peter Klenow, Stanford University
Resurrecting the Role of the Product Market Wedge in Recessions
More
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19/5
Tuesday 13:00
Jennifer La'o, Columbia University
Real Rigidity, Nominal Rigidity, and the Social Value of Information
More
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21/5
Thursday 13:00
Miles Kimball, University of Michigan
Breaking Through the Zero Lower Bound
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26/5
Tuesday 13:00
Alejandro Justiniano, Federal Reserve Bank of Chicago
Credit supply and the housing boom
More
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28/5
Thursday 13:00
Andrea Eisfeldt, UCLA
The Financial Soundness of US Firms, 1926-2012
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29/5
Friday 11:00
Mark Gertler, New York University
Banking, Liquidity and Bank Runs in an Infinite Horizon Economy
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June 2015
8/6
Monday 14:00
Richard Baldwin, Graduate Institute, CEPR
Misthinking Globalisation and what it means for central banks
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16/6
Tuesday 13:00
Hugo Hopenhayn, UCLA
Information, Misallocation and Aggregate Productivity
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July 2015
August 2015
31/8
Monday 13:00
Christian Friedrich, Bank of Canada
Global Inflation Dynamics in the Post-Crisis Period: What Explains the Twin Puzzle?
More
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September 2015
2/9
Wednesday 10:00
B Ravikumar, Federal Reserve Bank of St Louis and Arizona State University
Explaining Cross-Cohort Differences in Life Cycle Earnings
More
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7/9
Monday 13:00
Mathias Trabandt, Freie University
The Economic Consequences of Disinflation
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8/9
Tuesday 13:00
Olivier Coibion, UT, Austin
"Inflation Targeting Does Not Anchor Inflation Expectations Evidence from Firms in New Zealand"
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16/9
Wednesday 13:00
Junye Li, ESSEC
How Much of Bank Credit Risk is Sovereign Risk? Evidence from the Eurozone
More
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22/9
Tuesday 13:00
Robert S Marquez, UC Davis
Supervisory Incentives in a Banking Union
More
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29/9
Tuesday 13:00
Bo Becker, SSE
Non-rating revenue and conflicts of interest
More
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October 2015
6/10
Tuesday 13:00
Thorsten Drautzburg, Federal Reserve Bank of Philadelphia
A Narrative Approach to a Fiscal DSGE Model
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8/10
Thursday 13:00
Erik Gilje, Wharton
Do Firms Engage in Risk-Shifting? Empirical Evidence
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14/10
Wednesday 13:00
Fabio Castiglionesi, Tilburg
Credit Information Sharing and Liquidity risk
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20/10
Tuesday 13:00
Marieke Bos, SOFI
The Labor Market Effects of Credit Market Information
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22/10
Thursday 13:00
Giovanni Lombardo, BIS
Self-Oriented Monetary Policy, Global Financial Markets and Excess Volatility of International Capital Flows
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27/10
Tuesday 13:00
Jacek Kotłowski and Aleksandra Halka, National Bank of Poland
Global or domestic? Which shocks drive in inflation in European small open economies?
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November 2015
3/11
Tuesday 13:00
Tatiana Damjanovic, Durham
Universal vs separated banking with deposit insurance in a macro model
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10/11
Tuesday 15:00
Paul Willen, Boston Fed
Revisiting the Growth of Mortgage Debt in the Boom
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17/11
Tuesday 13:00
Giovanni Dell'Ariccia, IMF
Financial Frictions, Foreign Currency Borrowing, and Systemic Risk
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24/11
Tuesday 13:00
Lance Kent, College of William and Mary
Bilateral Linkages and the International Transmission of Business Cycles
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26/11
Thursday 13:00
Fabio Canova, EUI
Beggar-thy-neighbor? The international effects of ECB unconventional monetary policy measures
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27/11
Friday 14:00
Jordi Gali, CREI and UPF
Jordi Gali, CREI and UPF
Insider-Outsider Labor Markets, Hysteresis and Monetary Policy
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December 2015
8/12
Tuesday 13:00
Todd Keister, Rutgers University
Liquidity regulation and the implementation of monetary policy
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15/12
Tuesday 13:00
John Rust, Georgetown University
Precommitments for Financial Self-Control? Micro Evidence from the 2003 Korean Credit Crisis
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Go to Seminars