Showing results 1 - 10 of 11
June 2020, Paper, "Drawing on lessons from the 2007–2009 Global Financial Crisis (GFC) and a simple conceptual framework, we examine the response of U.S. bank regulators to the…
2019, Paper, "We develop a model in which risk-averse, specialized bond investors must be paid to absorb shocks to the supply and demand for long-term bonds in two currencies.…
Social Risk, Fiscal Risk, and the Portfolio of Government Program. Samuel Hanson, David Scharfstein, Adi Sunderam, June 2018, Paper, "We develop a model of government portfolio…
Strengthening and Streamlining Bank Capital Regulation. Robin Greenwood, Samuel Hanson, Jeremy Stein, Adi Sunderam, August 2017, Paper, "We propose three core principles that…
The Financial Regulatory Reform Agenda in 2017. Robin Greenwood, Samuel Hanson, Jeremy Stein, Adi Sunderam, February 2017, Paper, "We take stock of the post-crisis financial…
Who Neglects Risk? Investor Experience and the Credit Boom. Samuel G. Hanson, Adi Sunderam, April 2015, Paper. "Many argue that overoptimistic thinking on the part of…
Fiscal Risk and the Portfolio of Government Programs. Samuel G. Hanson, David S. Scharfstein, Adi Sunderam, June 2014, Paper. "This paper proposes a new approach to social cost-…
An Evaluation of Money Market Fund Reform Proposals. Samuel G. Hanson, David S. Scharfstein, Adi Sunderam, May 2014, Paper. "U.S. money market mutual funds (MMFs) are an important…
The Rise and Fall of Securitization. Samuel G. Hanson, Adi Sunderam, December 2013, Paper. "The rise and fall of nontraditional securitizations—collateralized debt obligations and…
Are There Too Many Safe Securities? Securitization and the Incentives for Information Production. Samuel Hanson, Adi Sunderam, June 2013, Paper. "We present a model that helps…