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Poster session 1
Thursday, September 27 2012
Euro at Risk: The Impact of Member Countries’ Credit Risk on the Stability of the Common Currency, Lamia Bekkour (Université du Luxembourg), Xisong Jin (Université du Luxembourg),Thorsten Lehnert (Université du Luxembourg), Fanou Rasmouki(Université du Luxembourg) and Christian Wolff (Université du Luxembourg)
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| Banks and Sovereign Risk: A Granular View, Claudia M. Buch (University of Tübingen, IAW & CESifo), Michael Kötter (University Groningen) and Jana Ohls (Deutsche Bundesbank) |
Second Best Analysis in a Non-Modigliani-Miller World - Financial Implications of Real Economic Disequilibria, Massimo Cingolani (European Investment Bank) |
Government Debt Issuance in the Euro Area: The Impact of the Financial Crisis, Mark De Broeck (IMF) and Anastasia Guscina (IMF) |
The Impact of Distressed Economies in the EU Sovereign Market, Jonatan Groba (Universidad Carlos III de Madrid), Juan Angel Lafuente (Universitat Jaume I, Castelló de la Plana) and Pedro Serrano (Universidad Carlos III de Madrid) |
A Structural Approach to Estimate Market-assessed Sovereign Credit Risk, Jue Wang (University of Sydney), Jiri Svec (University of Sydney) and Maurice Peat (University of Sydney) |
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