Past Brown Bags

Past Finance Brown Bag presenters

Date Presenter Paper
7.6.2018 Renée Adams
(University of New South Wales)
Unsuccessful Teams
17.5.2018 Theresa Spickers
(Ludwig Maximilian University of Munich)
Stress test: Do investors' stress levels affect trading and prices?
16.5.2018 Mikael Paaso
(Aalto University)
Preliminary work examining the causal relationship between corporate cash holdings and agency problems
30.4.2018 Allaudeen Hameed
(National University of Singapore)
Mispriced Stocks, Option Trading, and Return Predictability
25.4.2018 Bünyamin Önal
(Aalto University)
Do Politically Connected Directors Bridge an Information Gap in Investment Decisions? Evidence from China
12.4.2018 Tarun Chordia
(Emory University)
p-hacking: Evidence from two million trading strategies
28.3.2018 Sami Torstila
(Aalto University)
Prolonged Private Equity Holding Periods: Six Years is the New Normal
22.3.2018 Ludovic Phalippou
(Saïd Business School)
How Alternative Are Alternative Investments? The Case of Private Equity Funds
15.3.2018 Michela Altieri
(VU University of Amsterdam)
Corporate Bond Guarantees and The Value of Financial Flexibility
24.1.2018 Belma Ötztürkkal
(Kadir Has University)
Liquidity Response to Mutual Fund Flows
20.12.2017 Juho Kanniainen
(Tampere University of Technology)
Do custodian banks trade on information from their clients' transactions?
19.12.2017 Tuomas Tomunen
(Columbia University)
Prospect Theory and Macro-finance
13.12.2017 Mikael Paaso
(Aalto University)
Perfect Pitch
22.11.2017 Michael Ungeheuer
(Aalto University)
Daily Winners and Losers
16.11.2017 Nic Schaub
(University of St. Gallen)
The Impact of Internet Postings on Individual Investors
15.11.2017 Markus Schmid
(University of St. Gallen)
Peer Pressure in Corporate Earnings Management
1.11.2017 Peter Hans Matthews
(Middlebury College/Hanken School of Economics)
Choice Architecture to Improve Financial Decision-Making
4.10.2017 Gonul Colak
(Hanken School of Economics)
Investor Relations and IPO Performance
27.9.2017 Ellapulli Vasudevan
(Aalto University)
Volatility and the Disposition Effect
13.9.2017 Söhnke M. Bartram
(Warwick Business School)
Global Market Inefficiencies
6.9.2017 Markku Kaustia
(Aalto University)
Expecting a Stock Market Miracle
17.8.2017 Utpal Bhattacharya
(Hong Kong University of Technology)
Spillovers in Asset Prices: The Curious Case of Haunted Houses
21.6.2017 Aleksi Pitkäjärvi
(Aalto University)
Cross-Asset Signals and Time Series Momentum
14.6.2017 Yijie Li
(Aalto University)
Unemployment-based economic states and equity premium predictability
7.6.2017 Renee Adams
(University of New South Wales)
Shareholders and Stakeholders around the World: The Role of Values and Culture in Directors’ Decisions
17.5.2017 Patrick Kelly
(New Economic School)
Does Access to Foreign Financing Insulate Firms from Local Shocks? Evidence from the Response of Investable Firms to Monetary Policy
3.5.2017 Bruce Grundy
(University of Melbourne)
Can Socially-Responsible Firms Survive Competition? Analysis of Corporate Employee Matching Grants
5.4.2017 Petra Vokatá
(Aalto University)
On structured products
29.3.2017 Juha Joenväärä
(University of Oulu)
Hedge Fund Flows and Names Gravitas
2.2.2017 Doron Avramov
(Hebrew University of Jerusalem)
Bonds, Stocks, and Sources of Mispricing
14.12.2016 Patrick Augustin
(McGill University)
Multi-Market Trading and Cross-Asset Integration
7.12.2016 Fabio Verona
(Bank of Finland)
Forecasting the equity risk premium with frequency-decomposed predictors
23.11.2016 Nathaniel Young
Banking and Growth: Evidence from a Regression Discontinuity Analysis
16.11.2016 Mikael Paaso Extrapolating from Noise? Investment Decisions and Cash Flow Shocks
9.11.2016 Matti Keloharju Shady Deals in a Squeaky Clean Country
3.11.2016 Karolin Kirschenmann
(ZEW - Centre for European Economic Research)
Numeracy and on-the-job decision quality: Evidence from loan officers
19.10.2016 Jos van Bommel Intergenerational Wealth Transfer: How Wealthy Families (Can) Preserve Wealth?
28.9.2016 Claus Munk
(Copenhagen Business School)
A Mean-Variance Benchmark for Household Portfolios over the Life Cycle
16.6.2016 Sampsa Samila (National University of Singapore Business School) "Persistence of Initial Success: Evidence from Venture Capital" Joint with Ramana Nanda (HBS) and Olav Sorenson (Yale SOM)
18.5.2016 Denis Gromb (HEC Paris) "Financially Constrained Arbitrage and Cross-Market Contagion". Joint with Dimitri Vayanos.
4.5.2016 Elias Rantapuska (Aalto University) "Mutual Fund Choice Across Generations". Joint work with Samuli Knupfer (BI Norwegian Business School and CEPR) and Matti Sarvimäki (Aalto University and VATT)
17.2.2016 Fabio Verona (Bank of Finland) “The Q  theory: new evidence from a time-frequency analysis”
28.1.2016 Doron Avramov (The Hebrew University of Jerusalem) "Talking Numbers:
Technical versus Fundamental Investment Recommendations"
28.10.2015 Magnus Blomkvist (Audencia Nantes) “Does the IPO Market Provide an Efficient Tool to facilitate Industry Restructuring?”
14.10.2015 Matthijs Lof (Aalto University) "Slow trading and stock return predictability"
30.9.2015 Ville Rantala ”Keeping up with the Ponzis”
16.9.2015 Matti Suominen (Aalto University) "Beta Bubbles"
2.9.2015 Aloke Ghosh (Baruch College) "The Quality of Audit Stress Tests of Goodwill for Impairments"
17.6.2015 Matthijs Lof (Aalto University)  "Noncausality and the Commodity Currency Hypothesis
10.6.2015 Renée Adams (UNSW Business School) "The Changing Nature of Corporate Board Activity"
29.4.2015 Elias Rantapuska "Trust your gut: Hunger increases trust and trustworthiness"
15.4.2015 Petri Jylhä (Imperial College) "Does Funding Liquidity Cause Market Liquidity? Evidence from a Quasi-Experiment"
8.4.2015 Martin Ruckes (Karlsruhe Institute of Technology) “The Effects of Disclosure Policy on Risk Management Incentives and Market Entry”
25.2.2015 Gonul Colak (Hanken School of Economics) "Political Uncertainty and Leverage Adjustments: An International Perspective"
11.2.2015 Matti Suominen "Dash for Cash: Month-End Liquidity Needs and the Predictability of Stock Returns"
22.1.2015 Doron Avramov (Hebrew University of Jerusalem) "The Idiosyncratic Volatility – Expected Return Relation: Reconciling the Conflicting Evidence"
17.12.2014 Henry Jarva "Accrual Estimation Errors and CEO Turnover"
10.12.2014 Bünyamin Önal "CEO Compensation around Acquisitions: Is Agency Problem the Whole Story?"
3.12.2014 Niilo Luotonen "What constrains micro-entrepreneurship? Evidence from street paper vendors"
26.11.2014 Helinä Laakkonen (Bank of Finland) "The relevance of uncertainty on the bond market trading volume"
19.11.2014 Joonas Hämäläinen (University of Turku) "Portfolio Selection under Directional Predictability of Returns"
12.11.2014 Karolin Kirschenmann "Powerful Parents? The Local Impact of Banks’ Global Business Models", joint with Ralph De Haas
29.10.2014 Matti Suominen "Currency Carry Trades and Funding Risk"
15.10.2014 Pekka Tolonen (Oulu Business School) "Hedge fund leverage and performance: New evidence from multiple leveraged share classes"
17.9.2014 Patricia Boyallian "CEO Risk Taking Incentives and Bank Failure during hte 2007-2010 Financial Crisis"
13.8.2014 Matti Keloharju "Initial Offer Precision and M&A outcomes", joint with Petri Hukkanen
6.8.2014 Harrison Hong "Crime, Punishment and the Halo Effect of Corporate Social Responsibility"
11.6.2014 Renée Adams (University of New South Wales)
28.5.2014 Arvid Hoffmann (Maastricht University)
14.5.2014 Jarno Talponen
(University of Eastern Finland)
13.5.2014 Jussi Keppo
(National University of Singapore)
9.5.2014 Luca Delviva (ESADE)
7.5.2014 Lenos Trigeorgis (University of Cyprus)
30.4.2014 Matti Keloharju
23.4.2014 Ralph De Haas (European Bank of Reconstruction and Development)
26.3.2014 Niilo Luotonen
29.1.2014 Mikko Leppämäki
4.12.2013 Risto Karjalainen (Estlander & Partners)
20.11.2013 Mikko Niemenmaa
13.11.2013 Karolin Kirschenmann
6.11.2013 Christoph Merkle (University of Mannheim)
30.10.2013 Timo Korkeamäki (Hanken School of Economics)
23.10.2013 Deniz Okat
16.10.2013 Antti Lehtoranta
9.10.2013 Claus Munk (Copenhagen Business School)
21.8.2013 David Robinson (Duke University)
14.8.2013 Vesa Puttonen
5.6.2013 Renée Adams (University of New South Wales)
22.5.2013 Elias Rantapuska
24.4.2013 Markus Sihvonen (New York University)
17.4.2013 Martin Ruckes (Karlsruhe Institute of Technology)
10.4.2013 Bünyamin Onal
27.3.2013 Eero Kasanen
13.3.2013 Juha Joenväärä (University of Oulu)
27.2.2013 Peter Nyberg
14.11.2012 Matthijs Lof
7.11.2012 Juliusz Radwanski (Humboldt-Universität zu Berlin)
31.10.2012 Elias Rantapuska
24.10.2012 Niilo Luotonen
10.10.2012 Liping Lu (University of Tilburg, visiting Bank of Finland)
26.9.2012 Markku Kaustia
12.9.2012 Manuel Baques (Universidad Carlos III de Madrid)
5.9.2012 Sevinc Cukurova
23.5.2012 Renée Adams (University of New South Wales)
25.4.2012 Camille Magron (University of Strasbourg)
7.3.2012 Patrick Göttner (Karlsruhe Institute of Technology)
18.1.2012 Arvid Hoffmann (Maastricht University)
23.11.2011 Karolin Kirschenmann
16.11.2011 Antti Lehtoranta
19.10.2011 Salla Pöyry (Hanken School of Economics)
28.9.2011 Samuli Knüpfer (London School of Economics)
1.6.2011 Alistair Milne (Cass Business School)
25.5.2011 Esa Jokivuolle (Bank of Finland)
4.5.2011 Yulia Ilina (Graduate School of Management, St. Petersburg University)
27.4.2011 Petri Jylhä (Imperial College London)
20.4.2011 Renée Adams (University of New South Wales)
6.4.2011 Katja Ahoniemi (Imperial College London)
30.3.2011 Joni Kokkonen (Universidade Catolica de Lisbon)
9.3.2011 Petri Jylhä (Imperial College London)
7.3.2011 Sami Torstila
2.3.2011 Joni Kokkonen (Universidade Catolica de Lisbon)

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