Conference on "Banking, insurance and financial stability"

descrizione
Banca d'Italia and IVASS organized an international research conference on 'Banking, insurance and financial stability', held in Rome on 6 December 2024. The conference promoted the discussion of new research from academic and other institutions on how evolving business models, increasing interconnections and technological developments in the banking and insurance industries may affect financial stability. The welcome address was held by The President of IVASS Luigi Federico Signorini. The keynote speech was given by Prof. Andrew Ellul (Kelley School of Business, Indiana University).
Date
6 December 2024

Last update

16 January 2025

Documents

  1. Conference on Banking, Insurance and Financial Stability - Programme pdf 543.5 KB
  2. Interconnectedness Between Banks and Insurers and Implications for Financial Stability pdf 1.8 MB Andrew Ellul
  3. International Portfolio Frictions pdf 389.8 KB W. Du, A. Fontana, P. Jakubik, R. Koijen, and H. Shin - Discussion: Giovanni Dell'Ariccia (IMF Research Department)
  4. International Portfolio Frictions pdf 1.2 MB Wenxin Du (Columbia Business School, NBER and CEPR), Alessandro Fontana (EIOPA), Petr Jakubik (IMF), Ralph S.J. Koijen (Chicago Booth, NBER, and CEPR), Hyun Song Shin (BIS)
  5. Insurance companies and the growth of corporate loans' securitization pdf 495.7 KB Fulvia Fringuellotti and João A.C. Santos - Discussion by Dominik Damast (LUISS)
  6. Insurance companies and the growth of corporate loans' securitization pdf 363.0 KB Fulvia Fringuellotti (Federal Reserve Bank of New York), Joao A. C. Santos (Federal Reserve Bank of New York, Nova School of Business and Economics)
  7. Insurance, Weather, and Financial Stability pdf 286.4 KB Kahn, Panjwani, Santos - Discussion: Christian Kubitza (ECB)
  8. Insurance, Weather, and Financial Stability - slides pdf 88.0 KB Charles M. Kahn (University of Illinois), Ahyan Panjwani (Federal Reserve Board), Joao A.C. Santos (FRB New York, Nova School of Business and Economics)
  9. The Value of Internal Sources of Funding Liquidity: US Broker-Dealers and the Financial Crisis pdf 577.2 KB Cecilia Caglio, Adam Copeland and Antoine Martin - Discussion: Matthieu Chavaz (BIS)
  10. The Value of Internal Sources of Funding Liquidity: US Broker-Dealers and the Financial Crisis pdf 552.2 KB Cecilia Caglio, Adam Copeland and Antoine Martin - Discussion: Matthieu Chavaz (BIS)
  11. Measuring Interest Rate Risk Management by Financial Institutions pdf 1.7 MB Celso Brunetti, Nathan Foley-Fisher, Stéphane Verani - Speaker: Monica Billio (Ca' Foscari University of Venice)
  12. Measuring Interest Rate Risk Management by Financial Institutions pdf 1.6 MB Celso Brunetti, Nathan Foley-Fisher, Stéphane Verani (Federal Reserve Board)
  13. Closing Remarks pdf 111.9 KB Antonio Rosario De Pascalis (IVASS)