Here are the brown bag seminars in recent years:
April 23, 2019
Nandini Gupta, "Consider the source: Is financial news politically biased?"
April 16, 2019
Janet Gao
April 9, 2019
Daniel Carvalho, "Credit Spreads and Economic Conditions: The Role of Lenders' Personal Experiences"
April 2, 2019
Ankit Kalda
March 26, 2019
Sakya Sarkar, "Is Value Dead?"
March 19, 2019
Jordan Martel. "Currency Access, Safe Assets, and Housing Markets"
November 13, 2018
Jun Yang, “P2P Lending”
November 6, 2018
Jan Schneemeier, “Cross-Learning in Opaque Networks”
October 30, 2018
Thomas Ruf, “Rent Seeking and Mutual Fund Inceptions”
October 23, 2018
Xiaoyun Yu, “Torpedo Your Competition: Strategic Reporting and Peer Firm IPO”
October 16, 2018
Craig Holden. “What is the Impact of Introducing a Parallel OTC Market? Theory and Evidence from the Chinese Interbank FX Market”
October 2, 2018
Preetesh Kantak, “Finding Fortune: How Do Institutional Investors Pick Asset Managers?”
September 25, 2018
Jordan Martel, “Learning-by-Owning in a Lemons Market”
September 18, 2018
Kayla Freeman, “The Economics of Trade Credit: Risk and Power”
September 11, 2018
Christian Heyerdahl-Larsen, “Welfare in Production Economies With Heterogeneous Beliefs”
April 24, 2018
Alessandro Previtero, “The Consumption Response of Capital Gains: Evidence from Mutual Fund Liquidations”
April 18, 2018
Jun Yang, “Sharing borrower repayment information via a central credit depository - Evidence from two randomized field experiments”
April 11, 2018
Zhenyu Wang, “OIS Risk Premiums”
April 3, 2018
Janet Gao, “Uncertainty, Access to External Finance, and Firm Precautionary Behavior”
March 27, 2018
Ruslan Goyenko, “Belief Dispersion in the Equity Options Market”
March 20, 2018
Isaac Hacamo, “Belief in Yourself: Do Peers Promote or Discourage Entrepreneurship?”
March 6, 2018
Noah Stoffman, “Unlocking Clients”
December 5, 2017
Abhishek Ganguly, “Hedge Fund Activism and Capital Structure: Evidence from Leverage Evolution”
November 28, 2017
Daniel Beneish, “Know What You Buy: Explaining Merger Wealth Effects using Allocated Merger Prices”
November 14, 2017
Janet Gao, “What Drives Global Syndication of Bank Loans? Effects of Bank Regulations”
November 8, 2017
Zhenyu Wang, “Tax Effects on Bank Liability Structure”
October 31, 2017
Jan Schneemeier, “Optimal Disclosure and Fight for Attention”
October 24, 2017
Daniel Carvalho, “Understanding the Credit Multiplier: The Working Capital Channel”
October 17, 2017
Xiaoyun Yu, “The Externalities of Corruption: Evidence from Entrepreneurial Activity in China”
October 3, 2017
Alessandro Previtero, “Financial Advisors and Risk-Taking”
April 25, 2017
Niklas Huether, “Paying for Performance in Private Equity: Evidence from VC Partnerships”
April 18, 2017
Veronika Pool, “Is there investment value in soft-dollar arrangements? Evidence from mutual fund commission allocations”
April 11, 2017
Xiayoyun Yu, “The Power of the Passive Information Intermediary: Evidence from Google’s China Exit”
April 4, 2017
Batchimeg Sambalaibat. “A theory of Liquidity Spillover between Bond and CDS Markets”
March 28, 2017
Bob Jennings
March 21, 2017
Azi Ben-Rephael, “Demand for Information and Asset Pricing”
March 7, 2017
Alessandro Previtero, “Robo-advisers and Investor Behavior”
November 15, 2016
Jun Yang, “Guide Pessimistically before the Annual Incentive Plan Approval”
November 8, 2016
Craig Holden, “Testing the LCAPM vs. Generalized Liquidity-Adjusted Asset Pricing: New Evidence and New Perspectives?”
November 1, 2016
Eitan Goldman, “A Model of Hedge Fund Activism”
October 18, 2016
Jared Wilson, “CEO Turnover Waves: Spillovers to Monitoring and Managerial Incentives”
October 4, 2016
Andrew Ellul, “Careers in Finance”
September 20, 2016
Janet Gao, “Do Lenders Affect Firms' Financial Reporting Decisions? Evidence from Lender-side Loan Defaults”
September 6, 2016
Xiaoyun Yu, “Sentiment Driven Credit Cycles”
April 28, 2015
Azi Ben-Rephael and Jaewon Choi, “The Corporate Finance Benefits of Short-horizon Investors ”
April 22, 2015
Wei Yang. “Dynamics of OIS Term Structure”
April 15, 2015
Ryan Israelsen, Jess Cornaggia, and Kimberly Rodgers Cornaggia. “Home Bias: Evidence from Municipal Bond Ratings”
April 7, 2015
Sudip Gupta, “Auctioning the Underwriting Spread: Implications for Information Production and Insurance”
April 1, 2015
Andrew Ellul, Cong Wang, and Kuo Zhang. “Labor Unemployment Risk and CEO Incentive Compensation”
March 24, 2015
Matt Billett, Jon A. Garfinkel, and Yi Jiang, “The Role of Financial Intermediaries in the Transmission of Peer-to-Peer Financial Policies”
March 11, 2015
Ye Cai, Merih Sevilir, and Jun Yang, “Are They Different? CEOs Made in CEO Factories”
March 3, 2015
Xiaoyun Yu, Qianqian Du, and Frank Yu, “Standing Out From The Crowd: The Outlier’s Effect On Corporate Governance”
December 9, 2014
Isaac Hacamo, “Monetary Policy and Asset Bubbles: The Household Channel”
November 18, 2014
Andrew Ellul, Cristina Cella, and Mariassunta Giannetti, "Institutional Investors’ Horizons and Trading Strategies"
November 11, 2014
Nandini Gupta and Rajeev Dehejia, "Financial development and occupational choice: Evidence from India"
November 4, 2014
Dmitry Lubensky and Doug Smith, “Learning from Speculating and the No-Trade Theorem”
October 28, 2014
Yoosoon Chang, Hwagyun Kim, Joon Y. Park, and Yongok Choi, "Evaluating Factor Pricing Models Using High Frequency Panels"
October 21, 2014
Steven Sibley, "Dissecting Overconfidence: Optimism, Miscalibration, and the Illusion of Control"
October 14, 2014
Irina Stefanescu, Kangzhen Xie, and Jun Yang. "Pay me now (and later): Bonus boosts before pension freezes and executive departures"
October 7, 2014
Kristoph Kleiner, "Can Credit Supply Frictions Impact Consumers? Mortgage Lending, Delinquencies, and the Home Affordable Refinance Program"
September 30, 2014
Fangzhou Liu, "Entry Threat and Industry Merger Activities"
September 23, 2014
Jun Wu, "Industry Momentum and Mutual Fund Performance"
September 16, 2014
Yifei Mao, "Managing Innovation: The Role of Collateral"
September 9, 2014
Zhenyu Wang and Suresh Sundaresan, “Bank Liability Structure: Deposits and Subordinated Debt”
September 2, 2014
Ryan Israelsen and Sudip Gupta, "Indirect Costs of the JOBS Act: Disclosures, Information Asymmetry, and Post-IPO Liquidity"
August 26, 2014
Utpal Bhattacharya, Weiyu Kuo, Tse-Chun Lin, and Jing Zhao. "Do Superstitious Traders Lose Money"
April 29, 2014
Azi Ben-Raphael, Salman Arif, and Charles Lee, "Mutually Inclusive? The Relation between Mutual Fund Trades and Short Sales"
April 23, 2014
Andrew Ellul, "Workers’ Protection in Bankruptcy, Corporate Debt and Wages"
April 15, 2014
Ryan Israelsen and Azi Ben-Rephael, “The Center of Attention: Bloomberg Terminals, Institutional Investors, and Stock Returns”
April 11, 2014
Wenyu Wang and Xuan Tian, “Hard Marriage with Heavy Burdens: Labor Unions as Takeover Deterrents”
April 1, 2014
Utpal Bhattacharya, Kelsey Wei, and Han Xia. “Follow the Money: Institutional Trading Around Rating Changes”
March 25, 2014
Yifei Mao, “Managing Innovation: Evidence from Real Estate Shocks”
March 11, 2014
Hong Kee Sul. “Estimating Counter-party Risk and Recovery Rate of Financial Institutions”
March 4, 2014
Michael Flores, “Long Termism or Simply Long Terms?”
December 3, 2013
Veronika Pool, Noah Stoffman, Scott Yonker, and Hanjiang Zhang, “Do Shocks to Manager Personal Wealth Affect Risk-taking in Delegated Portfolios?”
November 19, 2013
Volodymyr Lugovskyy. “Traders’ Heterogeneity and Bubble-Crash Patterns in Experimental Asset Markets”
October 29, 2013
Xuan Tian, “Providing protection or misaligning incentives? The effects of Labor unions on innovation”
October 22, 2013
Suresh Sundaresan and Zhenyu Wang, “Banks' Optimal Liability Structure and Bank Capital Regulation”
October 15, 2013
Andrew Ellul, Cristina Cella, and Nandini Gupta, “Compensating Tenure”
October 8, 2013
Blerina Reca, “Hedge Fund Crowds and Mispricing”
October 1, 2013
Wenyu Wang, “Durable Goods, Inflation Risk, and the Equilibrium Asset Prices”
September 24, 2013
Betsy Ann Laydon, “The Governance Role of Creditors in Competitive Industries”
September 17, 2013
Noah Stoffman, “The Daily Trades of Mutual Funds”
September 10, 2013
Sudip Gupta, “CDS Auctions and Informative Biases in CDS Recovery Rates”
May 3, 2013
Azi Ben-Rephael and Ryan Israelsen, “Are some clients more equal than others? Evidence of favoritism in shared trades”
December 3, 2012
Alexander Borisov, Andrew Ellul, and Merih Sevilir, “IPOs and Employment?”
November 27 , 2012
Ryan Israelsen, “What Drives Systematic Risk Factors”
November 13, 2012
Leonid Kogan, Dimitris Papanikolaou, and Noah Stoffman, “Technology Innovation: Winners and Losers?”
November 6, 2012
Art Durnev, Larry Fauver, and Nandini Guptae, “When Talk Isn't Cheap: The Corporate Value of Political Rhetoric”
October 30, 2012
Veronika Pool, Clemens Sialm, and Irina Stefanescu, “It Pays to Set the Menu: Mutual Fund Investment Options in 401(k) Plans”
October 24, 2012
Qianqian Du, Frank Yu, and Xiaoyun Yu, “Beyond 'Lost in Translation': Cultural Proximity and the Processing of Financial Information”
October 16, 2012
Jess Cornaggia and Kimberly Cornaggia, “Conflicted Credit Raters”
October 9, 2012
Amit Bubna, Sanjiv Das, and N.R. Prabhala, “Venture Capital Communities”
October 2, 2012
Matt Billett, Latchezar Popov, and Raunaq Pungaliya, “Covenant-Lite Loans”
September 25, 2012
Zhong Zhang, “Do Informed Traders Demand or Supply Liquidity?”
September 18, 2012
Yifei Mao, “Price Discovery in the Stock and Corporate Bond Markets”
September 11, 2012
Andrew Ellul, Marco Pagano, and Fabiano Schivardi, “Employment and Wage Insurance Within Firms”
September 4, 2012
Bidisha Chakravarty, Pamela Moulton, and Charles Trzcinka, “Institutional Holding Periods”
August 28, 2012
Juan Carlos Hatchondo, Per Krusell, and Martin Schneider, “Asset Trading and Valuation with Uncertain Exposure”
August 21, 2012
Tom Chemmanur, Elena Loutskina, and Xuan Tian, “Corporate Venture Capital, Value Creation, and Innovation”
May 4, 2012
Jess Cornaggia, Xuan Tian, and Brian Wolfe, “Does Banking Competition Affect Corporate Innovation?”
April 30, 2012
Jung Hoon Lee, “School Ties in Fund Families”
April 24, 2012
Veronika Krepely-Pool, Noah Stoffman, and Scott Yonker, “Neighbor Effects in Mutual Fund Portfolio Choice”
April 18, 2012
Craig Holden, “Optimal Algorithmic Trading With Limit Orders”
April 13, 2012
Salman Arif, “Aggregate Investment and Its Consequences”
April 10, 2012
Ranadeb Chaudhuri, Zoran Ivkovic, and Charles Trzcinka, “Strategic Performance Allocation in Institutional Asset Management Firms: Behold the Power of Stars and Dominant Clients”
April 4, 2012
Ting Chen, Xiumin Martin, and Jun Yang, “Tournament Incentives and Debt Contracts”
March 27, 2012
Mariassunta Giannetti and Guanmin Liao, and Xiaoyun Yu, “The Brain Gain of Corporate Boards: A Natural Experiment from China”
March 20, 2012
Merih Sevilir, “Inter-firm Network Connections and Information Sharing”