2011-2012 Seminars: Videos and Research
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April 17, 2012 Current Research about Asset Pricing
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Lars Lochstoer: Commodity Futures Returns
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Limits to Arbitrage and Hedging: Evidence from Commodity Markets
Costis Maglaras: High-Frequency Trading
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Optimal Order Routing in a Fragmented Market
Elke Weber: What is Risk?
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Who Takes Risks When and Why: Determinants of Changes in Investor Risk Taking
February 7, 2012 Current Research about Investment Banking and Corporate Finance
Urooj Khan: Fair Value Accounting
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Does fair value accounting contribute to Systemic Risk in the Banking Industry?
Martin Oehmke: Derivative Contracts in Bankruptcy
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Should Derivatives be Privileged in Bankruptcy?
Daniel Wolfenzon: Estimating CEO Value
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Estimating the Value of The Boss: Evidence from CEO Hospitalization Events
December 6, 2011 Current Research about Sales, Trading and Research
Geert Bekaert: What Segments Equity Markets?
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Larry Glosten: The Flash Crash
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Paul Tetlock: Stocks Round-the-Clock
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What Moves Stock Prices? (PDF)
November 15, 2011 Current Research about Financial Institutions
Charles Calomiris: Fixing Bank Capital Regulation
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Why and How to Design a Contingent Convertible Debt Requirement (PDF)
Emi Nakamura: Understanding Fiscal Stimulus
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Fiscal Stimulus in a Monetary Union: Evidence from U.S. Regions
Does fiscal stimulus work in a monetary union?
Enrichetta Ravina: Beauty and Financial Transactions
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Love & Loans: The Effect of Beauty and Personal Characteristics in Credit Markets
October 4, 2011 Current Research about Risk Management
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Moshe Cohen: Increasing Lending in a Crisis
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Gur Huberman: A White Swan
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Stephen Penman: Accounting for Value
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Returns to Buying Earnings and Book Value: Accounting for Growth and Risk