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)

The Information Content of Dividends: Safer Profits, not Higher Profits

Stefano Rossi

Did the Basel Process of Capital Regulation Enhance the Resiliency of European Banks?

Thomas Gehrig

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)

Central Bank Finances: how does their P&L matter, if at all? [Seminar Supported by AXA Research Fund]

David Archer (Bank for International Settlements)

Optimal Bank Regulation in the Presence of Credit and Run Risk

Anil Kashyap (Chicago Booth)