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Regular version of the site

Rodionov I. I., Смирнов А.

Saint-Petersburg April 20-24, 2016 , 2016.

Currency Shifts as a Market Discipline Device: The Case of the Russian Market for Personal Deposits

Semenova M., Shapkin A.

Emerging Markets Finance and Trade. 2019. Vol. 55. No. 10. P. 2149-2163.

Book chapter
The Development of the leasing Market

Gazman V. D.

In bk.: 40 Years of Leasing: A Global Success Story. L.: Capital Markets Intelligence Ltd., 2018. P. 62-67.

Working paper
Choosing the Weighting Coefficients for Estimating the Term Structure from Sovereign Bonds

Lapshin V. A., Sofia Sokhatskaya.

Financial Economics. FE. Высшая школа экономики, 2018. No. WP BRP 73/FE/2018.

The International seminar of the School of Finance "Systemic risk in the financial sector"

Event ended
The international seminar of the School of Finance “Systemic risk in the financial sector” will be held on November 16-17, 2018 at the National research University "Higher school of Economics", Moscow.

The HSE School of Finance, a leading Russian university department in the field of financial education and research, will host the event, which seeks to unite researchers and practitioners, working on financial stability issues. Researchers from European and top Russian universities as well as the representatives of the regulator, Central Bank of Russia, will present their papers and act as discussants.  The range of topics to be discussed at the workshop includes, but is not limited to:

  •  Systemic risk measures;
  • Modern problems of modeling of system risks and financial regulation;
  • Financial crisis;
  • The relationship of financial institutions;
  • Macro-prudential policy instruments and their effectiveness in developed and emerging economies.

For participation in the workshop you can contact df@hse.ru

Follow the information on the website.