Tag Archives: Financial Crisis

Profs. Acharya and Van Nieuwerburgh’s Research is Cited in NY Times

The following is an excerpt from “The Big Bank Subsidy,” an Economix blog excerpt in the NY Times.  [T]he best evidence developed by independent researchers (i.e., those not employed by the Clearing House or its allies) continues to run strongly … Continue reading

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New Faculty Publication: Global Asset Management: Strategies, Risks, Processes and Technologies

Global Asset Management: Strategies, Risks, Processes and Technologies, edited by Professors Michael Pinedo and Ingo Walter, focuses on all major aspects of the asset management industry including regulations, strategies, processes, applied technologies and risks. It is the first book that addresses the key … Continue reading

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Former Bank of England Governor to Join NYU Stern Faculty

New York University Stern School of Business and New York University School of Law today announced that Sir Mervyn King, the former head of the Bank of England, will be a distinguished visiting professor at both schools in the fall … Continue reading

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Professors Engle and Tuckman on The Office of Financial Research and Dr. Richard Berner

Dr. Richard Berner visited NYU Stern recently to discuss his new post as Director of the US Treasury’s Office of Financial Research (OFR), “the first federal agency devoted to quantifying threats to financial stability.” Berner addressed the NYU Stern community … Continue reading

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Register Today! NYU Stern Conference: The Return of Private Capital to the Mortgage Market

The Center for Real Estate Finance Research (CREFR) and Marc H. Bell, General Partner of Barbican Capital invite you to Stern for a full-day conference on March 5th, 2013 on the future of the U.S. housing finance system. (This conference … Continue reading

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A Call to Action: Experts Discuss the Need for Regulatory Instruments

Designing Global Financial Regulatory Instruments By  NYU Stern Professor Viral Acharya and T. Sabri Öncü Despite the largest financial crisis since the 1930s, progress towards international coordination of financial regulation remains dismally slow. To speed the development of a harmonized … Continue reading

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