6–7 avril 2011
Toulouse, France
Plus d’informations à venir
Liste des communications
Andrea Attar, « Multiple Lenders, Strategic Default, and the Role of Debt Covenants », Risk Management after the Crisis, Toulouse, France, 6–7 avril 2011.
Hans Gersbach, « Aggregate Investment Externalities and Macroprudential Regulation », Risk Management after the Crisis, Toulouse, France, 6–7 avril 2011.
Florian Heider, « Risk-sharing or risk-taking? Hedging, margins and incentives », Risk Management after the Crisis, Toulouse, France, 6–7 avril 2011.
Christian Hellwig, « Information Aggregation and Investment Decisions », Risk Management after the Crisis, Toulouse, France, 6–7 avril 2011.
Anton Korinek, « Managing Credit Booms and Busts: A Pigouvian Taxation Approach », Risk Management after the Crisis, Toulouse, France, 6–7 avril 2011.
Josef Schroth, « Financial crisis resolution », Risk Management after the Crisis, Toulouse, France, 6–7 avril 2011.
Javier Suarez, « Liquidity shocks, roll-over and debt maturity », Risk Management after the Crisis, Toulouse, France, 6–7 avril 2011.
Oren Sussman, « Liquidity, Contagion and Crisis », Risk Management after the Crisis, Toulouse, France, 6–7 avril 2011.
David Thesmar, « Monetary Policy and Risk-Shifting: Evidence from the Subprime Market », Risk Management after the Crisis, Toulouse, France, 6–7 avril 2011.