Palata Narodne banke, izgrađena u stilu neorenesansnog akademizma, predstavlja jedno od najvećih i najlepših ostvarenja u Beogradu u 19. veku, zbog čega je svrstana u spomenike kulture pod zaštitom države...
Narodna banka Srbije i Ekonomski fakultet u Beogradu od 2018. godine zajednički organizuju Beogradski istraživački seminar iz ekonomije i finansija, koji nasleđuje istraživačke seminare koje je Narodna banka Srbije održavala od 2010. godine.
Seminari se po pravilu održavaju petkom, od 13 do 14 časova, u zgradi Narodne banke Srbije u Nemanjinoj ulici br. 17 u Beogradu.
Ukoliko želite da prisustvujete istraživačkom seminaru Narodne banke Srbije, potrebno je da svoje učešće prijavite na adresu: seminari@nbs.rs, najkasnije dva dana pre početka seminara. U prijavi je neophodno da navedete svoje ime, prezime, naziv seminara, naziv institucije iz koje dolazite i broj važećeg ličnog dokumenta (lične karte ili pasoša). Imajte u vidu da će se učešće na seminaru utvrđivati prema redosledu pristiglih prijava. Samo ukoliko su sva mesta popunjena, dobićete od nas imejl sa obaveštenjem. U suprotnom smatrajte da ste se uspešno prijavili na seminar.
13. decembar 2019. od 13 časova (Ekonomski fakultetu u Beogradu, Profesorska sala)
Francesko Nava, London School of Economics and Political Science
Tema: “Diferencirana trajna dobra: monopol i konkurencija” | Pozivnica
21. jun 2019. od 13 časova (Ekonomski fakultetu u Beogradu, Profesorska sala)
Dalibor Stevanović, Univerzitetu u Montrealu
Tema: “Upotreba mašinskog učenja u makroekonomskom predviđanju” | Pozivnica | Stručni rad
28. maj 2019. (Ekonomski fakultetu u Beogradu, Profesorska sala)
Hans Jarle Kind, Norveška škola ekonomije
Tema: “Personalizovano određivanje cena onemogućava smanjenje intenziteta konkurencije od strane konkurenata” | Pozivnica | Stručni rad
24. april 2019.
Maruška Vizek, Ekonomski institut, Zagreb
Tema: “Fiscal Devaluations: Evidence Using Bilateral Trade Balance Data” | Prezentacija
22. mart 2019.
Georgios Georgiadis, European Central Bank
Tema: “Monetary Policy Spillovers, Capital Controls and Exchange Rate Flexibility and the Financial Channel of Exchange Rates”
1. mart 2019. (Ekonomski fakultetu u Beogradu, Profesorska sala)
Ana Obiševa, Nova ekonomska škola, Moskva
Tema: “Dimensional Analysis, Leverage Neutrality, and Market Microstructure Invariance” | Stručni rad
22. februar 2019.
Martin Brown, University of St Gallen
Tema: “Banking Crises, Bail-ins and Money Holdings” | Stručni rad
8. februar 2019. (Ekonomski fakultetu u Beogradu, Profesorska sala)
Vjačeslav Gorovoj, Nova ekonomska škola, Moskva
Tema: “Interest rate modelling under conditions of near-zero interest rates” | Stručni rad
23. novembar 2018.
Teokaris Grigoriadis, Free University of Berlin, School of Business & Economics
Tema: “Sukob i imperija: Svedočenje raspada Livonske konfederacije” | Stručni rad
31. oktobar 2018.
Simeon Đankov, direktor Izveštaja o svetskom razvoju za 2019. godinu
Tema: “Izveštaj o svetskom razvoju: Promene u prirodi rada”
World Development Report 2019 (The World Bank) | Prezentacija
22. jun 2018.
Assaf Razin, Cornell University, USA and Tel Aviv University, Izrael
Tema: “Financial Globalization and the Welfare State”
13. jun 2018.
Martin Summer, Central bank of Austria
Tema: "Systematic and Systemic Stress Tests"
25. maj 2018.
Kamil Yilmaz, Koc University, Turska
Tema: “Input-Output Networks and Producer Price Inflation Connectedness“
15. decembar 2017.
Nikola Gradojevic, University of Guelph, Kanada
Tema: "Informativeness of trade size in foreign exchange markets"
17. novembar 2017.
Urszula Szczerbowicz, Banque de France
Tema: "Corporate Debt Structure and Unconventional Monetary Policy in the United States"
10. novembar 2017.
Geert Mesters, Universitat Pompeu Fabra & Barcelona GSE
Tema: "Detecting Granular Time Series in Large Panels"
20. oktobar 2017.
Kamil Yilmaz, Koc University, Turska
22. septembar 2017.
Martin Feldkircher, Austrian National Bank
Tema: "US Monetary Policy in a Globalized World" | Prezentacija
23. jun 2017.
Serafeim Tsoukas, University of Glasgow
Tema: "Bank funding shocks and firm performance: New evidence from the sovereign debt crisis"
12. jun 2017.
Luca Gelsomini, ICEF, HSE, Moskva
Tema: "The Quoted Spread of a Monopolist Informed Intermediary"
9. jun 2017.
Laurent Weill, University of Strasbourg
Tema: "Trust in Banks"
5. maj 2017.
Adam Gersl, Joint Vienna Institute
Tema: "Credit-Based Early Warning Indicators of Banking Crises in Emerging Markets"
28. april 2017.
Zuzana Fungacova, Bank of Finland
Tema: "Does Bank Competition Reduce Cost of Credit? Cross-country Evidence from Europe"
21. april 2017.
Avi Wohl, Tel Aviv University
Tema: "Corporate Bond Trading on a Limit Order Book Exchange"
31. mart 2017.
Günter Strobl, Frankfurt School of Finance and Management
Tema: "Credit Ratings: Strategic Issuer Disclosure and Optimal Screening"
2. decembar 2016.
Guglielmo Maria Caporale, Brunel University, Velika Britanija
Tema: "Macro News and Bond Yield Spreads in the Euro Area"
25. novembar 2016.
Carsten Schröder, DIW and Free University Berlin, Nemačka
Tema: "Revisiting the Evidence for a Cardinal Treatment of Ordinal Variables"
14. novembar 2016.
Ranko Jelic, University of Sussex, Velika Britanija
Tema: "Time Varying Factors in the Performance of European Corporate Bonds"
4. novembar 2016.
Torben Andersen, Aarhus University, Danska
Tema: "The big trade-off between efficiency and equity - is it there?"
28. oktobar 2016.
Alessandro Barattieri, Collegio Carlo Alberto, Italija
Tema: "Banks Interconnectivity and Leverage"
21. oktobar 2016.
Joscha Beckmann, University of Antwerp, Belgija
Tema: "Analyzing Disagreement and Exchange Rate Predictability Using Time-Varying VAR-X Models"
13. jun 2016.
Sergey Gelman, Higher School of Economics, Moskva, Rusija
Tema: "Firm-specific uncertainty around earnings announcements and the cross-section of stock returns"
20. maj 2016.
Fernando Broner, CREI - Universitat Pompeu Fabra, Barcelona, Spain
Tema: "Rethinking the Effects of Financial Globalization"
6. maj 2016.
Tomasz Michalski, HEC Paris, France
Tema: “Financial Integration and Growth: Banks' Previous Industry Exposure Matters”
26. februar 2016.
Jan-Egbert Sturm, ETH Zurich, Switzerland
Tema: "Finance and income inequality revisited"
20. novembar 2015.
Ugo Panizza, Graduate Institute Geneva, Švajcarska
Tema: "The second wave of global liquidity: Why are firms acting like
financial intermediaries?"
13. novembar 2015.
Frank Westermann, Osnabrueck University
Tema: “China’s Capital Flight: Pre- and Post-Crisis Experiences”
6. novembar 2015.
Xin Zhang, Sveriges Riksbank
Tema: "Default exposure to downside risks and the cross-section of expected returns"
23. oktobar 2015.
Michael Landesmann, Vienna Institute for International Economic Studies (WIIW), Austrija
Tema: "Dealing with Structural External Imbalances"
9. oktobar 2015.
Simone Manganelli, Evropska centralna banka
Tema: "Lending-of-last-resort is as lending-of-last-resort does: Central bank liquidity provision and interbank market functioning in the euro area"
19. jun 2015.
Tommaso Monacelli, Bocconi University, Milano, Italija
Tema: "Understanding the Gains from Wage Flexibility: the Exchange Rate connection" | Prezentacija
5. jun 2015.
Christian Laux, WU University, Vienna
Tema: "Procyclicality of US Bank Leverage"
25. maj 2015.
Dalibor Stevanović, University of Quebec, Montreal, Kanada
Tema: "Forecasting economic activity in data-rich environment: The case of a small open economy"
8. maj 2015.
Hans-Werner Sinn, CESIfo Institute and Univesity of Munich, Nemačka
Tema: "The Euro Crisis"
24. april 2015.
Gerhard Illing, Ludwig-Maximilian University of Munich, Nemačka
Tema: "Forward Guidance at the Zero Lower Bound in a Model of Price-Level Targeting" | Prezentacija
17. april 2015.
Alexander Popov, Evropska centralna banka
Tema: "Sovereign Stress, Unconventional Monetary Policy, and SME Access to Finance"
13. mart 2015.
Dirk Niepelt, University of Bern and Gerzensee Center, Švajcarska
Tema: “Austerity” | Presentation
27. februar 2015.
Luca Sala, Bocconi University, Italija
Tema: "Noisy News in Business Cycles"
19. decembar 2014.
Paolo Pinotti, University Bocconi, Milano, Italy
Tema: "The Economic Costs of Organized Crime: Evidence from Southern Italy"
21. novembar 2014.
Guglielmo Caporale, Brunnel University, UK
Tema: "Fiscal Spillovers in the Euro Area"
10. oktobar 2014.
Marco Pagano, University Naples I, Italy
Tema: "Advertising Arbitrage"
3. oktobar 2014.
Javier Ordonez, Universidad Jaume I, Spain
Tema: "Real Unit Labour Costs in Eurozone Countries: Drivers and Clusters"
5. septembar 2014.
Michael Wickens, University of York, Velika Britanija
Tema: "Sovereign credit ratings in the European Union: a model based fiscal analysis" | Prezentacija
4. jul 2014.
Stephen Broadberry, London School of Economics, Velika Britanija
Tema: "The BRICs: what does economic history say about their growth prospects" | Prezentacija
6. jun 2014.
Rajnish Mehra, Luxembourg School of Finance, Luksemburg
Tema: "Macroeconomic Determinants of Financial Predictability"
2. jun 2014.
Slobodan Đajić, Graduate Institute, Ženeva, Švajcarska
Tema: "International Migration of Skilled Workers with Endogenous Policies"
30. maj 2014.
Thomas Noe, Said Business School, Oxford University, Velika Britanija
Tema: "Blood and Money: Kin altruism, governance, and inheritance in the family firm"
23. maj 2014.
Magnus Dahlquist, Stockholm School of Economics, Švedska
Tema: "On the Design of a Default Pension Fund"
16. maj 2014.
Barbara Rossi, University Pompeu Fabra i CREI, Španija
Tema: "Are Central Banks' and Private Sector's Forecasts Rational? Empirical Evidence Based on New Forecast Optimality Tests in the Presence of Instability"
28. april 2014.
Assaf Razin, Tel Aviv University, Izrael i Cornell University, SAD
Tema: "Liquidity Crises, Currency Crises, and the Euro Crises: Analytical View" | Prezentacija
9. maj 2014.
Michel Habib, Swiss Finance Institute i University of Zurich, Švajcarska
Tema: "Sovereign Debt Sustainability in Advanced Economies" | Prezentacija
25. april 2014.
Vicente Cunat, London School of Economics, Velika Britanija
Tema: "Within-Bank Transmission of Real Estate Shocks"
7. mart 2014.
Martin Summer, Austrian Central Bank
Tema: "Endogenous Leverage and Asset Pricing in Double Auctions"
21. februar 2014.
Norman Schürhoff, HEC Lausanne, Švajcarska
Tema: "Dealer Networks: Market Quality in Over-The-Counter Markets"
7. februar 2014.
Pavle Petrović, Univerzitet u Beogradu i Fiskalni savet Srbije
Tema: "Fiscal Multipliers in Emerging European Economies"
29. novembar 2013.
Ranko Jelić, University of Birmingham, Velika Britanija
Tema: "European Asset Swap Spreads and the Credit Crisis"
15. novembar 2013.
Leonardo Gambacorta, Bank for International Settlements (BIS), Švajcarska
Tema: “Monetary policy in a downturn: Are financial crises special?”
11. oktobar 2013.
Rafael Wouters, National Bank of Belgium
Tema: "Endogenous Risk in a DSGE Model with Capital-constrained Financial Intermediaries"
27. septembar 2013.
Wouter den Haan, London School of Economics, Velika Britanija
Tema: ”Inventories and the Role of Goods-Market Frictions for Business Cycles”
20. septembar 2013.
Roberto Pancrazi, University of Warwick, UK | Prezentacija
Tema: "Debt Habits, Private Lending and Sovereign Risk"
13. septembar 2013.
Walter Distaso, Imperial College, London, Velika Britanija
Tema: "Conditional alphas and realized betas"
23. avgust 2013.
Paul Schweinzer, University of York, UK
Tema: "Consuming your way to efficiency: public goods provision through non-distortionary tax lotteries"
23. avgust 2013.
Paul Schweinzer, University of York, UK
Tema: "Consuming your way to efficiency: public goods provision through non-distortionary tax lotteries" | Prezentacija
5. jul 2013.
Srđan Stojanović, University of Cincinnati, SAD
Tema: “Neutral and Indifference Portfolio Pricing, Hedging and Investing”
2. jul 2013.
Viral Acharya, Stern School of Business, New York University, SAD
Tema: "Measuring and Managing Global Systemic Risk" | Veb-sajt
20. jun 2013.
Bojan Jovanović, New York University, SAD
Tema: ”Extensive and Intensive Investment over the Business Cycle”
7. jun 2013.
Refet Gürkaynak, Bilkent University, Turska
Tema: "Judging the DSGE Model by Its Forecast"
31. maj 2013.
Pasquale Della Corte, Imperial College London, Velika Britanija
Tema: ”Volatility Risk Premia and Exchange Rate Predictability”
10. maj 2013.
Jose Penalva, Universidad Carlos III, Španija
Tema: "Loanable Funds with Intermediaries under Central Bank Supervision"
5. april 2013.
Geert Persman, Ghent University, Belgija
Tema: "The Effectiveness of Unconventional Monetary Policy at the Zero Lower Bound: A Cross-Country Analysis"
29. mart 2013.
Levent Kockesen, Koc University, Turska
Tema: "Renegotiation/Proof Third-Party Contracts under Asymmetric Information" | Prezentacija
15. mart 2013.
Alexei Bulatov, ICEF, Higher School of Economics, Rusija
Tema: "Uniqueness of Equilibrium in the Single-Period Kyle (1985) Model"
1. mart 2013.
Francesca Cornelli, London Business School, Velika Britanija
Tema: "CEO Turnover in LBOs: The Role of Boards" | Prezentacija
22. februar 2013.
Artashes Karapetyan, Norges Bank
Tema: "Information Sharing and Information Acquisition in Credit Markets" | Prezentacija
8. februar 2013.
Pavle Petrović, Ekonomski fakultet, Beograd
Tema: "Monetary Policy Rule in Emerging Europe: a Discrete Choice Approach"
25. januar 2013.
Jakša Cvitanić, California Institute of Technology, SAD i EDHEC, Francuska
Tema: "Competition in Portfolio Management: Theory and Experiment" | Prezentacija
1. februar 2013.
Thomas Gehrig, University of Vienna, Austrija
Tema: "Loan Sales and Screening Incentives"
11. januar 2013.
Bruce Boghosian, American University of Armenia
Tema: "Asset exchange models with inflation and taxation"
18. januar 2013.
Bart Taub, University of Durham, Velika Britanija
Tema: "Inconspicuousness and obfuscation: How large shareholders dynamically manipulate output and information for trading purposes"
14. decembar 2012.
Christian Haefke, IAS, Austrija
Tema: "Labor Market Participation and Labor Supply Elasticities
4. decembar 2012.
Antonio Cabrales, Univesidad Carlos III, Španija
Tema: "Risk-sharing and contagion in networks" | Prezentacija
23. novembar 2012.
Frank Smets, Evropska centralna banka
Tema: "Booms and Systemic Banking Crises"
16. novembar 2012.
Joel Peress, INSEAD, Francuska
Tema: "The Media and the Diffusion of Information in Financial Markets: Evidence from Newspaper Strikes"
7. novembar 2012.
Pierpaolo Benigno, Luiss University, Rim
Tema: "Monetary Policy, Doubts and Asset Prices" | Prezentacija
2. novembar 2012.
Cedric Tille, Graduate Institute, Ženeva
Tema: "A bargaining theory of trade invoicing"
26. oktobar 2012.
Vladimir Sokolov, ICEF, Higher School of Economics, Moskva
Tema: "Tracing the Impact of Central Bank Liquidity Infusions on Financially Constrained Banks: Evidence from a Natural Experiment" | Prezentacija
19. oktobar 2012.
Massimiliano Marcelino, European University Institute, Firenca
Tema: "Structural Analysis with Classical and Bayesian Large Reduced Rank VARs" | Prezentacija
5. oktobar 2012.
Charles Goodhart, London School of Economics, Velika Britanija
Tema: "The Euro-Crisis: Past, Present and Future" | Prezentacija
28. septembar 2012.
Suleyman Basak, London Business School and CEPR, Velika Britanija
Tema: "Asset Prices and Institutional Investors”
21. septembar 2012.
Michael Funke, University of Hamburg, Nemačka
Tema: "The Signalling Channel of Central Bank Interventions: Modelling the Yen /US Dollar Exchange Rate" | Prezentacija
19. septembar 2012.
Indermit Gill, World Bank
Tema: "Serbia: A Little More Austerity, A Lot More Growth"
14. septembar 2012.
Dennis Kristensen, University College, London
Tema: "Robust inference in asset pricing models under structural instability”
10. septembar 2012.
Franco Bruni, Bocconi University, Italija
Tema: "Curing and preventing euroarea's sovereign debt crises: some isues and a recipe"
12. jul 2012.
Dimitrios Tsomocos, Said Business School, Oxford University, Velika Britanija
Tema: "Financial Regulation in General Equilibrium” | Prezentacija
6. jul 2012.
Siem Jan Koopman, Vrije University Amsterdam, Holandija
Tema: "Observation Driven Mixed-Measurement Dynamic Factor Models with an Application to Credit Risk" | Prezentacija
29. jun 2012.
Branko Urošević, Ekonomski fakultet u Beogradu i Narodna banka Srbije
Tema: "A Signaling Model of University Selection"
8. jun 2012.
Kevin Sheedy, London School of Economics, Velika Britanija
Tema: "Debt and Risk Sharing in Incomplete Financial Markets: A Case for Nominal GDP Targeting"
1. jun 2012.
Gianluca Benigno, London School of Economics, Velika Britanija
Tema: "Reserve Accumulation, Growth and Financial Crisis” | Prezentacija
31. maj 2012.
Julia Kiraly (Deputy-Governor, National Bank of Hungary)
Tema: "Macroprudential and monetary policy dilemmas in a small open economy” | Prezentacija
25. maj 2012.
Gerhard Illing, University of Munich, Nemačka
Tema: "Interest rate trap – the role of money"
18. maj 2012.
Jon Danielsson, London School of Economics, Velika Britanija
Tema: "Systemic Risk: Models and Policy" | Prezentacija
11. maj 2012.
Matthias Morys, University of York, Velika Britanija
Tema: "Business cycles in South-East Europe 1870-2000: A Bayesian Dynamic Factor Model"
4. maj 2012.
Christian Julliard, London School of Economics, Velika Britanija
Tema: "Network Risk and Key Players: A Structural Analysis of Interbank Liquidity"
27. april 2012.
Marija Vukotić, Banque de France (centralna banka Francuske)
Tema: "TFP Persistence and Monetary Policy" | Prezentacija
20. april 2012.
Seppo Honkapohja, Bank of Finland, (centralna banka Finske)
Tema: "Learning as a Rational Foundation for Macroeconomics and Finance"
6. april 2012.
Juan Pedro Gomez, Instituto di Empressa Business School, Madrid, Španija
Tema: "Portfolio Manager Compensation in the U. S. Mutual Fund Industry" | Prezentacija
30. mart 2012.
Luciana Juvenal, FED St. Louis, SAD
Tema: "Trade and Synchronization in a Multi – Country Economy"
9. mart 2012.
Iftekhar Hasan, Fordham University, NY, SAD.
Tema: "Financial Contracting: Banks versus Banks"
2. mart 2012.
Altin Tanku, Bank of Albania
Tema: "The Role of Budget Constrains in the Theory of Rational Expectations, A Framework for Modeling and Discussing Financial Stability" | Prezentacija
24. februar 2012.
Richild Moessner, BIS (Banka za međunarodne obračune/Bank for International Settlement)
Tema: "Banking Crises and the International Monetary System in the Great Depression and Now"
10. februar 2012.
Boris Vujčić, Hrvatska narodna banka (zamenik guvernera Hrvatske narodne banke)
Tema: "Emerging markets during the crisis: why this time was different?" | Prezentacija
3. februar 2012.
Francesco Furlanetto, Norges Bank (centralna banka Norveške)
Tema: "Matching Efficiency and Business Cycle Fluctuations" | Prezentacija
30. januar 2012.
Michael Ehrmann, Evropska centralna banka
Tema: "Global Crises and Equity Market Contagion"
27. januar 2012.
Dušan Isakov, University of Fribourg, Švajcarska
Tema: "Technical Analysis with a Long Term Perspective" | Prezentacija
20. januar 2012.
Marius Jurgilas, Norges Bank, Oslo, Norveška
Tema: "Liquidity-Saving Mechanisms in Collateral-Based RTGS Payment Systems" | Preѕentacija
11. novembar 2011.
Giovanna Nicodano, Collegio Carlo Alberto - University of Torino i European Corporate Governance Institute
Tema: "Intercorporate guarantees, leverage and taxes" | Prezentacija
4. novembar 2011.
Jin Cao, Norges Bank (centralna banka Norveške)
Tema: “Interest rate trap”, or: Why does the central bank keep the policy rate too low for too long time??" | Prezentacija
31. oktobar 2011.
Marco Da Rinn, Tilburg University, Holandija i Bocconi University, Italija
Tema: "The Benefits of Size for Private Equity Investors"
21. oktobar 2011.
Alex Stomper, University of Vienna, Austrija i Massachusetts Institute of Technology (MIT), SAD
Tema: "The Politics of Related Lending"
14. oktobar 2011.
Lucio Sarno, Cass Business School, City University London, Velika Britanija
Tema: "Currency Momentum Strategies" | Prezentacija
7. oktobar 2011.
Santiago Carbo-Valverde, University of Granada, Španija i Federal Reserve Bank of Chicago, SAD
Tema: "Regulating Two-Sided Markets: An Empirical Investigation" | Prezentacija
30. septembar 2011.
Denis Gromb, INSEAD, Francuska
Tema: "Financially Constrained Arbitrage and Cross-Market Contagion" | Prezentacija
23. septembar 2011.
Michael Reiter, Vienna Institute for Advanced Studies, Austrija
Tema: "Lumpy Investment and State-Dependent Pricing in General Equilibrium"
16. septembar 2011.
Valentina Corradi - University of Warwick, Velika Britanija
Tema: "Testing the Degree of Commitment via Set-Identification" | Prezentacija
9. septembar 2011.
Stefan Schmitz iz Oesterreichische Nationalbank (Centralna banka Austrije)
Tema: "Structure and Stability in Payment Networks" | Prezentacija
2. septembar 2011.
Kasper Roszbach - Sveriges Riksbank i University of Groningen, Holandija
Tema: "Credit Ratings and Bank Monitoring Ability"
19. avgust 2011.
Mathias Trabandt, Sveriges Riksbank (centralna banka Švedske)
Tema: "Involuntary Unemployment and the Business Cycle”
8. juli 2011.
Charles Engel, University of Wisconsin - Medison, SAD
Tema: "The Real Exchange Rate, Real Interest Rates, and the Risk Premium" | Prezentacija
1. juli 2011.
Diego Garcia, Kenan-Flager Business School, University of North Carolina, Chapel Hill, SAD
Tema: "Journalsts and the stock market, sentiments and recessions" - [1], [2] | Prezentacija
17. juni 2011.
Carsten Sprenger, Međunarodni koledž za ekonomiju i finansije (ICEF), Moskva, Rusija
Tema: "Regional House Price Dynamics in Russia" | Prezentacija
10. jun 2011.
Bertrand Candelon, Maastricht University, School of Business and Economics, Holandija
Tema: "Modeling financial crises mutation" | Prezentacija
3. jun 2011.
Bernard Dumas, INSEAD, Francuska
Tema: "Incomplete-Market Equilibria Solved Recursively on an Event Tree" | Prezentacija
27. maj 2011.
Lucrezia Reichlin, London Business School, Velika Britanija
Tema: "Nowcasting"
13. maj 2011.
Jagjit Chadha, University of Kent, School of Economics, Velika Britanija
Tema: "Non-standard monetary policy in DSGE models" - Discussion Papers [1], [2] | Prezentacija
6. maj 2011.
Francesco Ravazzolo, Norges Bank
Tema: "Forecast Densities for Economic Aggregates from Disaggregate Ensembles" | Prezentacija
8. april 2011.
Franziska Schobert, Deutsche Bundesbank
Tema: "Inflation Targeting by Debtor Central Banks in Emerging Market Economies“ | Prezentacija
1. april 2011.
Jordi Galí, Centre de Recerca en Economia Internacional (CREI), Španija
Tema: „Unemployment Fluctuations and Stabilization Policies: A New Keynesian Perspective“ | Prezentacija
25. mart 2011.
Jean Imbs, Ecole d'économie de Paris, Francuska
Tema: "Elasticity Optimism“ | Prezentacija
11. mart 2011.
Fabrizio Zilibotti, University of Zurich, Švajcarska
Tema: "Growing Like China“ | Prezentacija
25. februar 2011.
Mirko Đukić, Narodna banka Srbije
Tema: "Model za srednjoročne projekcije Narodne banke Srbije" | Prezentacija
17. februar 2011.
Yildiray Yildirim, Syracuse University - Martin J. Whitman School of Management
Tema: "Government Policies, Residential Mortgage Defaults, and the Boom and Bust Cycle of Housing" | Prezentacija
21. januar 2011.
Samuel Reynard, Švajcarska centralna banka (SNB)
Tema: "Maintaining low inflation: Money, interest rates, and policy stance“ | Prezentacija
17. decembar 2010.
Miloš Božović, Center for Investments and Finance, Beograd
Tema: "An efficient method for market risk management under multivariate extreme value theory approach“ | Prezentacija
10. decembar 2010.
Gianluigi Ferrucci, Evropska centralna banka
Tema: "Food price pass-through in the euro area: the role of asymmetries and non-linearities" | Prezentacija
3. decembar 2010.
Maxim Nikitin, Međunarodni koledž za ekonomiju i finansije (ICEF), Moskva, Rusija
Tema: "Double Contagion: The Impact of Globalization and Exchange Rate Regime on Financial Fragility" | Prezentacija
12. novembar 2010.
Alexander Popov, Evropska centralna banka
Tema: "Cross-Border Banking and the International Transmission of Financial Distress during the Crisis of 2007-08" | Prezentacija
5. novembar 2010.
Petra Gerlach-Kristen , Banka za međunarodna poravnanja, Bazel
Tema: "Macroeconomic and interest rate volatility under alternative monetary operating procedures" (BIS Working Papers) | Prezentacija
8. oktobar 2010.
Branko Urošević, Centar za investicije i finansije (CIF), Beograd
Tema: "On the Spillover of Exchange-Rate Risk into Default Risk"
1. oktobar 2010.
Fabrizio Zampolli, Banka za međunarodna poravnanja, Bazel
Tema: "The future of public debt: prospects and implications" (BIS Working Papers) | Prezentacija
13. septembar 2010.
Michael Hawkins, HM Revenue and Customs, Velika Britanija
Tema: "The new UK fiscal policy framework"
16. avgust 2010.
Rodney Garratt , University of California, Santa Barbara
Tema: "Bank Behaviour and Risks in CHAPS Following the Collapse of Lehman Brothers"
24. jun 2010.
Bojan Jovanović, New York University, Department of Economics
Tema: "Middlemen in Electronic Markets"
24. februar 2010.
Milan Nedeljković, the University of Warwick
Tema: "Nonparametric Test of Conditional Quantile Independence with Applications to Bank’s Systemic Risk"