Wednesday Seminar Schedule – Fall Semester 2009
Date
Presenter
Topic
September 9
Xi Dong (Job Talk)
Informational vs. Risk-Sharing Trade in Foreign and Domestic Stocks: A New Perspective of Home Bias
September 16
Umut Gokcen (Job Talk)
Market Value of Banking Relationships: New Evidence from the Financial Crisis of 2008 [paper]
September 23
Vik Fedaseyeu
Debt Collectors: Why Do We Need Them?
September 30
Zhe Xu (Job Talk)
Asset Pricing with Commitment Consumption in Heterogeneous Agents Economy
October 7
Jie He (Job Talk)
Information Production, Retail Investors, and Delegated Portfolio Management
October 14
Ronnie Sadka
Hedge-Fund Money and Flow Impact: Smart In, Smarter Out
October 21
Phil Strahan
Hedge Funds as Liquidity Providers: Evidence from the Lehman Bankruptcy [paper]
October 28
Zhipeng Zhang
Who Pulls the Plug? Theory and Evidence on Corporate Bankruptcy Decisions [paper]
November 4
QJ
Credit Ratings and the Evolution of the Mortgage-Backed Security Market (joint with Jie He and Philip Strahan)
November 11
Lei Li
The Effect of TARP Funds Distribution on Bank Loan Growth
November 18
Bruce Carlin (UCLA)
TBA
November 25
Thanksgiving
NO PAPER
December 2
Jon Reuter
December 9
Jerome Taillard
All seminars are in Fulton 310 from noon until 1:00 PM.