Politics and Financial Regulation: implications of the Trump administration and of populism in Europe
Douglas Elliott (Oliver Wyman)
Bank Risk Taking and the Real Economy: evidence from the housing boom and its aftermath
David Scharfstein (Harvard)
Ranking Financial Centers from the Perspective of the Real Economy: the price of going public in the UK and US
Kevin James (Systemic Risk Centre, LSE)
Macroprudential Policy Making in Practice: The Swiss Experience
Jean-Pierre Danthine (Paris School of Economics)
Optimising Pay Regulations to Correct for Too-Big-To-Fail
John Thanassoulis (Warwick Business School)
Central Bank Finances: how does their P&L matter, if at all? [Seminar Supported by AXA Research Fund]
David Archer (Bank for International Settlements)