Erasmus Finance Group

 
 
   
 

Erasmus Finance Seminar

The Erasmus Finance Seminar brings prominent researchers in Finance from all over the world to Rotterdam. It is currently organized by Elvira Sojli.

Upcoming Erasmus Finance Seminars

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Past Erasmus Finance Seminars

Annette Vissing-Jorgensen (Northwestern University, Kellogg School of Management)

Erasmus Finance Seminar

December 13, 2011 | ERIM Research Seminar | Finance

Harrison Hong (Princeton University, Department of Economics)

Erasmus Finance Seminar

December 09, 2011 | ERIM Research Seminar | Finance

Tyler Shumway (University of Michigan, Stephen M. Ross School of Business)

Erasmus Finance Seminar

December 06, 2011 | ERIM Research Seminar | Finance

Stefano Giglio (University of Chicago, Booth School of Business)

Credit Default Swap Spreads and Systemic Financial Risk

December 01, 2011 | ERIM Research Seminar | Finance

Denis Gromb (INSEAD, INSEAD)

Financially Constrained Arbitrage and Cross-Market Contagion

November 22, 2011 | ERIM Research Seminar | Finance

Lucian Taylor (University of Pennsylvania, Wharton School of Business)

Dynamic Debt Runs: Evidence from a Structural Estimation

November 08, 2011 | ERIM Research Seminar | Finance

Anna Pavlova (University of London, London Business School (LBS))

Asset Prices and Institutional Investors

November 01, 2011 | ERIM Research Seminar | Finance

Gregory Duffee (Johns Hopkins University, Department of Economics)

Erasmus Finance Seminar

October 25, 2011 | ERIM Research Seminar | Finance

Andrew Winton (University of Minnesota, Carlson School of Management)

Lender Moral Hazard and Reputation in Originate-to-Distribute Markets

October 18, 2011 | ERIM Research Seminar | Finance

José-Miguel Gaspar (ESSEC Business School, ESSEC Department of Finance)

Payout Policy Choices and Shareholder Investment Horizons

October 11, 2011 | ERIM Research Seminar | Finance

Stephan Siegel (University of Washington, University of Washington Business School)

Why Do Individuals Exhibit Investment Biases?

October 04, 2011 | ERIM Research Seminar | Finance

Wayne Ferson (University of Southern California, Marshall School of Business)

Alpha and Performance Measurement: The Effect of Investor Heterogeneity

September 27, 2011 | ERIM Research Seminar | Finance

Albert Menkveld (Vrije Universiteit Amsterdam, Faculty of Economics and Business Administration)

The Anatomy of a Flash Crash: When Search Engines Replace Broker-Dealers

September 20, 2011 | ERIM Research Seminar | Finance

Harald Hau (INSEAD, INSEAD)

The Role of Equity Funds in the Financial Crisis Propagation

September 13, 2011 | ERIM Research Seminar | Finance

Berk Sensoy (The Ohio State University, Fisher College of Business )

Private Equity in the 21st Century: Liquidity, Cash Flows, and Performance from 1984-2010

September 06, 2011 | ERIM Research Seminar | Finance

Alon Brav (Duke University, Fuqua School of Business)

The Real Effects of Hedge Fund Activism: Productivity, Risk, and Product Market Competition

September 01, 2011 | ERIM Research Seminar | Finance

George Constantinides (University of Chicago, Booth School of Business)

The Predictability of Returns with Regime Shifts in Consumption and Dividend Growth

August 30, 2011 | ERIM Research Seminar | Finance

Sara Moeller (University of Pittsburgh, Joseph M. Katz Graduate School of Business)

Globalization, Governance, and the Returns to Cross-border Acquisition

July 12, 2011 | ERIM Research Seminar | Finance

Motohiro Yogo (Federal Reserve, Federal Reserve Bank of Minneapolis)

Health and Mortality Delta: Assessing the Welfare Cost of Household Insurance Choice

June 28, 2011 | ERIM Research Seminar | Finance

Dirk Hackbarth (University of Illinois at Urbana-Champaign, College of Business)

Innovation, Capital Structure, and the Boundaries of the Firm

June 21, 2011 | ERIM Research Seminar | Finance

David Smith (University of Virginia, McIntire School of Commerce)

The Ownership and Trading of Debt Claims in Chapter 11 Restructurings (rescheduled)

June 16, 2011 | ERIM Research Seminar | Finance

William Goetzmann (Yale University, Yale School of Management)

Procyclical Stocks Earn Higher Returns

June 08, 2011 | ERIM Research Seminar | Finance

Mark Grinblatt (University of California Los Angeles, UCLA Anderson School of Management)

IQ and Stock Market Trading

May 31, 2011 | ERIM Research Seminar | Finance

Gregory Udell (Indiana University Bloomington, Kelley School of Business Bloomington)

Disciplining Delegated Monitors: Evidence from Venture Capital

May 25, 2011 | ERIM Research Seminar | Finance

Gordon Phillips (University of Maryland, Robert H. Smith School of Business)

Conglomerate Industry Spanning

May 17, 2011 | ERIM Research Seminar | Finance

Randall Morck (University of Alberta, Alberta School of Business )

Monetary and Fiscal Stimuli, Ownership Structure, and China's Housing Market

May 16, 2011 | ERIM Research Seminar | Finance

Meghana Ayyagari (George Washington University, GW School of Business)

Are Innovating Firms Victims or Perpetrators?: Tax Evasion, Bribe Payments, and the Role of External Finance in Developing Countries

May 10, 2011 | ERIM Research Seminar | Finance

Sheridan Titman (University of Texas at Austin, Red McCombs School of Business )

Testing Factor-Model Explanations of Market Anomalies

May 04, 2011 | ERIM Research Seminar | Finance

Jules van Binsbergen (Northwestern University, Kellogg School of Management)

A Term Structure of Growth

May 03, 2011 | ERIM Research Seminar | Finance

Jörg Rocholl (European School of Management and Technology, ESMT - Ernst & Young Chair in Governance and Compliance)

Skin in the Game: Evidence from the Online Social Lending Market

April 12, 2011 | ERIM Research Seminar | Finance

Thierry Foucault (HEC Paris, HEC School of Management)

Dealer Attention, Liquidity Spillovers, and Endogenous Market Segmentation

April 05, 2011 | ERIM Research Seminar | Finance

Hans Degryse (Tilburg University, Faculty of Economics and Business Administration / CentER)

On the Non-Exclusivity of Loan Contracts: An Empirical Investigation

March 15, 2011 | ERIM Research Seminar | Finance

Todd Gormley (University of Pennsylvania, Wharton School of Business)

CEO Compensation and Corporate Risk-Taking: Evidence from a Natural Experiment

March 01, 2011 | ERIM Research Seminar | Finance

Ekkehart Boehmer (University of Oregon, Lundquist College of Business)

Capital Structure, Derivatives, and Equity Market Quality

February 22, 2011 | ERIM Research Seminar | Finance

René Stulz (The Ohio State University, Fisher College of Business )

Financial Policies, Investment, and the Financial Crisis: Impaired Credit Channel or Diminished Demand for Capital?

February 15, 2011 | ERIM Research Seminar | Finance

Pedro Matos (University of Southern California, Marshall School of Business)

Lending Relationships and the Effect of Bank Distress: Evidence from the 2007-2008 Financial Crisis

December 14, 2010 | ERIM Research Seminar | Finance

Ilya Strebulaev (Stanford University, Stanford Graduate School of Business)

Corporate Bond Default Risk: A 150-Year Perspective

December 07, 2010 | ERIM Research Seminar | Finance

Hong Liu (Washington University in St. Louis, Olin Business School)

Asymmetric Information, Endogenous Illiquidity, and Asset Pricing With Imperfect Competition

November 30, 2010 | ERIM Research Seminar | Finance

Jonathan Berk (Stanford University, Stanford Graduate School of Business)

Limited Capital Market Participation and Human Capital Risk

November 23, 2010 | ERIM Research Seminar | Finance

Joao Cocco (University of London, London Business School (LBS))

Understanding the Trade-Offs of Alternative Mortgage Products

November 09, 2010 | ERIM Research Seminar | Finance

Mitchell Petersen (Northwestern University, Kellogg School of Management)

Investment and Capital Constraints: Repatriations Under the American Jobs Creation Act

October 19, 2010 | ERIM Research Seminar | Finance

Tarun Ramadorai (University of Oxford, Saïd Business School )

Investor Interest and Hedge Fund Returns

October 12, 2010 | ERIM Research Seminar | Finance

Dong Lou (University of London, London School of Economics and Political Science (LSE))

Maximizing Short-Term Stock Prices Through Advertising

October 05, 2010 | ERIM Research Seminar | Finance

Ning Zhu (University of California Davis, UC Davis Graduate School of Management)

Security Supply and Bubbles: A Natural Experiment from the Chinese Warrants Market

September 29, 2010 | ERIM Research Seminar | Finance

Mike Weisbach (The Ohio State University, Fisher College of Business )

Did Securitization Affect the Cost of Corporate Debt?

September 28, 2010 | ERIM Research Seminar | Finance

Bob DeYoung (University of Kansas, KU School of Business)

A Theory of Bank Resolution: Technological Change and Political Economics

September 22, 2010 | ERIM Research Seminar | Finance

Mara Faccio (Purdue University, Krannert School of Management)

Large Shareholder Diversification and Corporate Risk-Taking

September 21, 2010 | ERIM Research Seminar | Finance

Seppo Honkapohja (Bank of Finland, Board Member)
Kevin Lansing (Federal Reserve, Federal Reserve Bank of San Francisco)
Athanasios Orphanides (Central Bank of Cyprus, Governor of the Central Bank of Cyprus)
Pietro Veronesi (University of Chicago, Booth School of Business)

Expectations, Asset Bubbles and Financial Crises

September 16, 2010 | Conference | Finance

Suleyman Basak (University of London, London Business School (LBS))

Strategic Asset Allocation in Money Management

September 14, 2010 | ERIM Research Seminar | Finance

Darrell Duffie (Stanford University, Stanford Graduate School of Business)

How Big Banks Fail and What To Do About It?

September 09, 2010 | ERIM Research Seminar | Finance

Yakov Amihud (New York University, Stern School of Business)

Creditor Rights and Corporate Risk Taking

September 02, 2010 | ERIM Research Seminar | Finance

Tim Adam (Humboldt-Universität zu Berlin, School of Business and Economics)

The Use of Credit Default Swaps by U.S. Fixed-Income Mutual Funds

August 17, 2010 | ERIM Research Seminar | Finance

Laurence Calvet (HEC Paris, Department of Finance and Economics)

Twin Picks: Disentangling the Determinants of Risk-Taking in Household Portfolios

June 29, 2010 | ERIM Research Seminar | Finance

Jeniffer Carpenter (New York University, Stern School of Business)

Estimation of Employee Stock Option Exercise Rates and Firm Cost

June 15, 2010 | ERIM Research Seminar | Finance

Per Stromberg (Stockholm University, Stockholm School of Economics)

Borrow Cheap, Buy High? The Determinants of Leverage and Pricing in Buyouts

June 08, 2010 | ERIM Research Seminar | Finance

Steven Ongena (Tilburg University, Faculty of Economics and Business Administration / CentER)

Credit Supply: Identifying Balance-Sheet Channels with Loan Applications and Granted Loans

June 04, 2010 | ERIM Research Seminar | Finance

Oguzhan Karakas (University of London, London Business School (LBS))

Another Option for Determining the Value of Corporate Votes

May 18, 2010 | ERIM Research Seminar | Finance

Catherine Casamatta (University of Toulouse I, Toulouse School of Economics)

Multiple Lenders, Strategic Default and the Role of Debt Covenants

April 27, 2010 | ERIM Research Seminar | Finance

Miles Livingston (University of Florida, Warrington College of Business Administration)

Moody's and S&P Ratings: Are They Equivalent? Conservative Ratings and Split Rated Bond Yields

April 13, 2010 | ERIM Research Seminar | Finance

Ulrich Hege (HEC Paris, HEC School of Management)

The Role of Private Equity in Corporate Asset Sales: Theory and Evidence

March 31, 2010 | ERIM Research Seminar | Finance

Dmitry Livdan (University of California Berkeley, Haas School of Business)

Informed Trading and Portfolio Returns

March 30, 2010 | ERIM Research Seminar | Finance

Ioanid Rosu (University of Chicago, Booth School of Business)

Liquidity and Information in Order Driven Markets

March 16, 2010 | ERIM Research Seminar | Finance

Christophe Perignon (HEC Paris, HEC School of Management)

The Pernicious Effects of Contaminated Data in Risk Management

March 09, 2010 | ERIM Research Seminar | Finance

Mariassunta Giannetti (Stockholm University, Stockholm School of Economics)

What matters in executive compensation? The Role of Internal Governance, Corporate Culture, and the Labor Market

March 02, 2010 | ERIM Research Seminar | Finance

Christine Parlour (University of California Berkeley, Haas School of Business)

Laying off Credit Risk: Loan Sales versus Credit Default Swaps

February 23, 2010 | ERIM Research Seminar | Finance

Stijn van Nieuwerburgh (New York University, Stern School of Business)

Macroeconomic Implications of Housing Wealth, Housing Finance, and Limited Risk-Sharing in General Equilibrium

December 22, 2009 | ERIM Research Seminar | Finance

Robert Marquez (Boston University, Boston University School of Management)

The Economics of Club Bidding in Private Equity

December 15, 2009 | ERIM Research Seminar | Finance

Asani Sarkar (Federal Reserve, Federal Reserve Bank of New York)

Are Comovements Excessive?

December 08, 2009 | ERIM Research Seminar | Finance

Rossen Valkanov (University of California San Diego, Rady School of Management)

Does the Early Exercise Premium Contain Information about Future Underlying Returns?

December 01, 2009 | ERIM Research Seminar | Finance

Lily Fang (INSEAD, Department of Finance)

Are Stars Opinions Worth More? The Relation Between Analyst Reputation and Recommendation Values

November 24, 2009 | ERIM Research Seminar | Finance

Robert Dittmar (University of Michigan, Stephen M. Ross School of Business)

Ex Ante Skewness and Expected Stock Returns

November 17, 2009 | ERIM Research Seminar | Finance

Tim Jenkinson (University of Oxford, Saïd Business School )

Why SPAC Investors Should Listen to the Market

November 10, 2009 | ERIM Research Seminar | Finance

Lauren Cohen (Harvard University, Harvard Business School)

Do Powerful Politicians Cause Corporate Downsizing?

November 03, 2009 | ERIM Research Seminar | Finance

Thomas Noe (University of Oxford, Saïd Business School )

Product Market Efficiency: The Bright Side of Myopic, Uninformed, and Passive External Finance

October 20, 2009 | ERIM Research Seminar | Finance

Ruslan Goyenko (McGill University, Desautels Faculty of Management)

Mutual Fund's R-squared as Predictor of Performance

October 13, 2009 | ERIM Research Seminar | Finance

Christopher James (University of Florida, Warrington College of Business Administration)

Credit Market Conditions and the Determinants and Value of Banking Relationships

October 06, 2009 | ERIM Research Seminar | Finance

Marcin Kacperczyk (New York University, Stern School of Business)

Attention Allocation over the Business Cycle

September 22, 2009 | ERIM Research Seminar | Finance

Alok Kumar (University of Texas at Austin, Red McCombs School of Business )

Investor Clienteles and Habitat-Based Return Comovements: Direct Evidence

September 01, 2009 | ERIM Research Seminar | Finance

Rui de Albuquerque (Boston University, Boston University School of Management)

Advance Information and Asset Prices

June 30, 2009 | ERIM Research Seminar | Finance

Michel Robe (American University, Kogod School of Business)

Fundamentals, Trader Activity and Derivative Pricing

June 25, 2009 | ERIM Research Seminar | Finance

Ralph Koijen (University of Chicago, Booth School of Business)

The Cross-Section and Time-Series of Stock and Bond Returns

June 23, 2009 | ERIM Research Seminar | Finance

Soeren Hvidkjaer (University of Copenhagen, Copenhagen Business School)

Firm Characteristics and Informed Trading: Implications for Asset Pricing

June 16, 2009 | ERIM Research Seminar | Finance

Francis Diebold (University of Pennsylvania, Wharton School of Business)

Arbitrage-Free Dynamic Nelson-Siegel Yield Curve Modeling

June 10, 2009 | ERIM Research Seminar | Finance

Martijn Cremers (Yale University, Yale School of Management)

Should Benchmark Indices Have Alpha? Revisiting Performance Evaluation

June 09, 2009 | ERIM Research Seminar | Finance

David Yermack (New York University, Stern School of Business)

Is a Higher Calling Enough? Incentive Compensation in the Church

June 02, 2009 | ERIM Research Seminar | Finance

Roberto Rigobon (Massachusetts Institute of Technology, Sloan School of Management)

Equilibrium Portfolio and External Adjustments under Incomplete Markets

May 26, 2009 | ERIM Research Seminar | Finance

Jana Fidrmuc (The University of Warwick, Warwick Business School)

Insider Trading and Corporate Governance: International Evidence

May 26, 2009 | ERIM Research Seminar | Finance

Xiaohui Gao (University of Hong Kong, School of Economics and Finance)

The Marketing of Seasoned Equity Offerings

May 14, 2009 | ERIM Research Seminar | Finance

Miles Livingston (University of Florida, Warrington College of Business Administration)

Risk Arbitrage, Switching, and the Relative Pricing of Coupon and Principal Strips

May 12, 2009 | ERIM Research Seminar | Finance

Henrik Cronqvist (Claremont McKenna College, The Robert Day School of Economics and Finance)

What Does CEOs' Personal Leverage Tell Us About Corporate Leverage?

April 28, 2009 | ERIM Research Seminar | Finance

Manju Puri (Duke University, Fuqua School of Business)

On the Role of Information, In-person contact, and Relationship Mitigating Discrimination in Bank Lending

April 21, 2009 | ERIM Research Seminar | Finance

Joao Santos (Federal Reserve, Federal Reserve Bank of New York)

Bank Capital, Borrower Power, and Loan Rates

April 07, 2009 | ERIM Research Seminar | Finance

Sasson Bar-Yosef (Hebrew University of Jerusalem, Jerusalem School of Business Administration )

Time to Wait - Time to Invest: The Case of Trade Orders Executions by Specialists on the NYSE

March 31, 2009 | ERIM Research Seminar | Finance

Michael Lemmon (University of Utah, David Eccles School of Business)

Survival of the Fittest? Financial and Economic Distress and Restructuring Outcomes in Chapter 11

March 10, 2009 | ERIM Research Seminar | Finance

Alex Edmans (University of Pennsylvania, Wharton School of Business)

Does the Stock Market Fully Value Intangibles? Employee Satisfaction and Equity Prices

December 11, 2008 | ERIM Research Seminar | Finance

Paolo Volpin (University of London, London Business School (LBS))

Securitization, Transparency and Liquidity

December 02, 2008 | ERIM Research Seminar | Finance

Andrew Patton (Duke University, Fuqua School of Business)

Systematic Risk and Information Flows (joint with M. Verardo)

November 25, 2008 | ERIM Research Seminar | Finance

Heitor Almeida (University of Illinois at Urbana-Champaign, College of Business)

The Structure and Formation of Business Groups: Evidence from Korean Chaebols

November 11, 2008 | ERIM Research Seminar | Finance

Murillo Campello (University of Illinois at Urbana-Champaign, College of Business)

"Corporate Financing and Investment: The Firm-Level Credit Multiplier"

November 05, 2008 | ERIM Research Seminar | Finance

Joost Driessen (Tilburg University, Tilburg School of Economics and Management)

Derivative Pricing with Liquidity Risk: Theory and Evidence from the Credit Swap Market

November 04, 2008 | ERIM Research Seminar | Finance

Hanno Lustig (University of California Los Angeles, UCLA Anderson School of Management)

IT, Corporate Payouts, and the Growing Inequality in Managerial Compensation

October 28, 2008 | ERIM Research Seminar | Finance

Amy Dittmar (University of Michigan, Stephen M. Ross School of Business)

Why Do Firms Use Private Equity to Opt Out of Public Markets?

October 21, 2008 | ERIM Research Seminar | Finance

Marco Pagano (University of Naples Federico II, University of Naples Federico II School of Economics)

Corporate Fraud, Governance and Auditing

October 14, 2008 | ERIM Research Seminar | Finance

Lubos Pastor (University of Chicago, Booth School of Business)

Are Stocks Really Less Volatile in the Long Run?

September 23, 2008 | ERIM Research Seminar | Finance

 
 
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