Conferences

Forthcoming Events

24.05.2012

Julian Franks, Professor, London Business School, UK.

21.06.2012

Nadège Jassaud, International Monetary Fund.

27.09.2012

Jordi Gual Solé - Chief Economist and Head of Research at "La Caixa" and Professor of Economics at IESE Business School (University of Navarra).


High-level conferences

26.04.2012

"Financial integration and stability: towards a more resilient single financial market"

02.05.2011

“Financial Integration and Stability: Strengthening the Foundations of Integrated and Stable Financial Markets”
High-level conference organised jointly by the ECB and the European Commission.

12.04.2010

“Financial Integration and Stability: the Legacy of the Crisis”
High-level conference organised jointly by the ECB and the European Commission. The event brought together a small number of key policy makers, financial market leaders and academics for a discussion on the implications of the financial and economic crisis for the integration and stability of financial markets, both in Europe and globally.


DG cycle of conferences

In order to explore recent developments in financial markets issues, DG Internal Market and Services organizes a cycle of conferences on a monthly basis. In this section you will find some of the presentations that were given within this cycle. Please note that the papers presented at these conferences do not necessarily reflect the views and opinions of the Commission. This material is aimed at animating a wider discussion and represents the personal views and opinions of the Authors.

15.03.2012

"Are Eurobonds a solution?" by Wim Boonstra, Chief Economist at Rabobank, Netherlands.

16.02.2012

"Reforming the Audit Market" by Andrew Chambers, Professor of Corporate Governance, London South Bank University.

26.01.2012

"Executive Pay and Risk Taking in Banks" by Marco Pagano, Professor of Economics, University of Naples, Italy and Imperial College, London.

01.12.2011

"Post crisis regulatory strategy – Basel n or Pillar 4? A response to the endogeneity problem" by David T. Llewellyn, Professor of Money & Banking at School of Business and Economics, Loughborough University and Vice-Chairman of the European Banking Authority Banking Stakeholder Group.

23.11.2011

"Basel Capital Rules and Alternative Methods to Control Risk in the Banking Sector" by Stefano Micossi, Director General, Assonime and Professor at the College of Europe.

20.10.2011

"The insufficiency of traditional safety nets: what bank resolution fund for Europe?" by Maria Nieto, Associate Director General of Banking Regulation, Banco de España

15.09.2011

"Volatility and Stability for Financial Markets and Intermediaries" by Sylvain Champonnois, Assistant Professor of Finance, University of California, San Diego, USA, Visiting Assistant Professor Imperial College Business School, London, UK.

08.06.2011

“Contingent Capital” by Theo Vermaelen, Schroders Chaired Professor in International Finance and Asset Management at INSEAD Fontainebleau

28.04.2011

“The Model and the Manager, the Role of Senior Management in Model Based Risk Management” by Ottmar Bongers, Head of Rsk modelling Division at the German Financial Supervisory Authority (BaFin), Germany

31.03.2011

“Capital-Market Effects of Securities Regulation: The Role of Implementation and Enforcement” by Christian Leuz, Professor, Chicago University.

24.03.2011

“Implementing a macroprudential framework: Balancing boldness and realism” by Claudio Borio, Deputy Head of Monetary and Economic Department and Director of Research and Statistics, Bank for International Settlements (BIS).

20.01.2011

“Financial Services Regulation – Supervision vs. Structural Reform” by John Kay, founder of London Economics, an independent economics consultancy firm, visiting Professor at the London School of Economics Member of the Council of Economic Advisers of the Scottish Government and active writer.

16.12.2010

“Systemic risk, debt markets and bail-in clauses” by Jan-Pieter Krahnen, Professor of Finance, Goethe University, Germany.

12.11.2010

“Risk Management – Setting a New Course” by Raj Singh, Chief Risk Officer at Swiss Re.

07.10.2010

“Bank crises resolution: lessons from the crisis” by Xavier Freixas Dargallo, Professor, Pompeu Fabra University (Barcelona, Spain) and Research Fellow at CEPR, Chairman of Global Association of Risk Professionals (GARP) Risk Based Regulation Program.

21.04.2010

“In Banking is Small Beautiful?” by Jean Dermine, Professor of Banking and Finance, INSEAD, Fontainebleau.

Last update: 24.04.2012