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Spring Semester 2014 - 2015
University of Piraeus, Department of Banking and Financial Management

WEEKLY SEMINAR SERIES

Organizers: Michail Anthropelos, George Skiadopoulos & Dimitiris Voliotis

Information: Costas Lambrinoudakis, This e-mail address is being protected from spambots. You need JavaScript enabled to view it


Th, Feb. 12, 16:15 -18:00
Xavier Mateos-Planas, Queen Mary University of London, UK
Partial Default
XavierMateosPlanas

Th, Feb. 19, 16:15 -18:00
Evgenia Passari, Université Paris Dauphine, FR
Commodity Currencies Revisited

Passari

Th, Feb. 26, 16:15 -18:00 {CANCELLED}
Barbara Rindi, Bocconi University, IT
Tick Size: Theory and Evidence

Barbara_Rindi

Th, Mar. 5, 16:15 -18:00
Ines Chaieb, University of Geneva, CH
Integration of Sovereign Bonds Markets: Time Variation and Maturity Effects

chaieb

Th, Mar. 12, 16:15 -18:00
Evaggelos Benos, Bank of England, UK
Interactions Among High-Frequency Traders

benos

Th, Mar. 19, 16:15 -18:00
Dimitrios P. Tsomocos, University of Oxford, Said Business School, UK
How does Macroprudential Regulation Change Bank Credit supply?

tsomocos

Th, Apr. 2, 16:15 -18:00
Marc Oliver Rieger, University of Trier, DE
Diversification with Options and Structured Products

rieger

EASTER HOLIDAYS

Th, Apr. 23, 16:15 -18:00
Julien Hugonnier, Ecole Polytechnique Federale de Lausanne, Swiss Finance Institute, CH
Bank Capital, Liquid Reserves and Insolvency Risk

julien_hugonnier

Th, Apr. 30, 16:15 -18:00
Marcus Leippold, University of Zurich, CH
How Index Futures and ETFs Increase Stock Return Correlations

leippold.markus

Th, May 07, 16:15 -18:00
Doron Avramov, The Jerusalem School of Business Administration, IL
The Idiosyncratic Volatility–Expected Return Relation: Reconciling the Conflicting Evidence

doron

Th, May 14, 16:15 -18:00
Mark Davis, Imperial College London, UK
Risk-sensitive Asset Management in a Finite-Factor Model

davis

The seminars take place in room # 013, Ground floor, University of Piraeus, #80 Karaoli & Dimitriou street, Piraeus, Greece

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