MIT Golub Center for Finance and Policy Public Policy

NOV 18 – A Decade After the Big Crisis: The Future of Financial Regulation

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Nearly one decade after the Global Financial Crisis, regulators and policymakers are rolling back post-Crisis regulations, including regulations meant to strengthen capital and liquidity requirements as well as ‘living wills’ for large banks. What where the major initiatives taken since 2008 to stre...

Nov 12, 2019
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MIT Golub Center for Finance and Policy Public Policy

6th Annual Conference: Retirement Finance: Policies for a Better Path Forward

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MIT GCFP 6th Annual Conference: Retirement Finance: Policies for a Better Path Forward

May 28, 2019
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MIT Golub Center for Finance and Policy Public Policy

JOIM Conference 2019

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This conference explores some of the policy considerations currently being discussed and the implications to investment management strategy. Leading experts from both academia and the profession will provide insights on the issues. This event is co-sponsored with the MIT Sloan Finance Group and MIT...

May 26, 2019
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MIT Golub Center for Finance and Policy Public Policy

Climate Risk & Finance Presentation and Panel Discussion

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GCFP hosted University of Waterloo’s Blair Feltmate and MIT Sloan’s Robert Pindyck and Jason Jay for a presentation and panel discussion on May 7. Click here for the recording, including […]

Apr 10, 2019
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MIT Golub Center for Finance and Policy Public Policy

Fintech Opportunity and Regulation

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Richard Berner of New York University’s Stern School of Management and Gary Gensler of MIT’s Sloan School of Management discuss fintech regulation in a “fireside chat.” Lunch will be provided.

Feb 1, 2019
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MIT Golub Center for Finance and Policy Public Policy

Borrowed Time – Two Centuries of Booms, Busts, and Bailouts at Citi

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Authors James Freeman and Vern McKinley discuss their research on 200 years of Citi’s history as presented in their 2018 book Borrowed Time. Lunch will be provided.

Feb 1, 2019
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MIT Golub Center for Finance and Policy Public Policy

Hao Zhou Lunch Lecture, Feb 11

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We propose a New Keynesian model with monetary-fiscal policy regime switch to explain the time-varying correlation between returns on the market portfolio and nominal Treasury bonds found in [...]

Jan 23, 2019
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MIT Golub Center for Finance and Policy Public Policy

David Murphy, Senior Advisor, Bank of England

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The advent of mandatory central clearing for certain types of over-the-counter derivatives and margin requirements for others means that margin is the most important mitigation mechanism for many [...]

Jan 23, 2019
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MIT Golub Center for Finance and Policy Public Policy

Ron Borzekowski Lunch Seminar

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Borzekowski discussed the importance of empirical findings in consumer finance research. He presented some innovative [...]

Nov 19, 2018
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MIT Golub Center for Finance and Policy Public Policy

New Data for Research into Consumer Finance Policy

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Borzekowski will discuss the importance of empirical findings in consumer finance research. He will present some [...]

Nov 19, 2018
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