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Financial Institutions

See the latest research, articles and faculty on the Financial Institutions Area of Expertise at Columbia Business School.

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Financial Institution Articles

Economics and Policy
Date
June 29, 2020
Empty shelves line grocery store walls in Orlando, Florida
Economics and Policy

How to Jump-Start the Global Supply Chain

Panelists at a recent online discussion suggested the global supply chain is changing in profound ways. Here are four questions we don't have answers to yet.
  • Read more about How to Jump-Start the Global Supply Chain about How to Jump-Start the Global Supply Chain
Chazen Global Insights, Economics and Policy, Finance
Date
November 25, 2019
Stacks of currency, US dollars, euros and a pen.
Chazen Global Insights, Economics and Policy, Finance

Cashing in on the Dollar

Why it’s an advantage to American firms that the dollar remains the world’s reserve currency.
  • Read more about Cashing in on the Dollar about Cashing in on the Dollar
Economics and Policy, Finance
Date
November 25, 2019
Stacks of currency, US dollars, euros and a pen.
Economics and Policy, Finance

Cashing in on the Dollar

Why it's an advantage to American firms that the dollar remains the world's reserve currency.
  • Read more about Cashing in on the Dollar about Cashing in on the Dollar
Business and Society, Capital Markets and Investments
Date
January 22, 2019
Auditorium. Photo Credit: Frank Oudeman
Business and Society, Capital Markets and Investments
Real Estate News

2018 Real Estate Symposium Panel Report: Global Capital Flows: Thinking Beyond the Cycle

David Hodes led a panel of three distinguished real estate professionals in a spirited discussion regarding global capital flows.
  • Read more about 2018 Real Estate Symposium Panel Report: Global Capital Flows: Thinking Beyond the Cycle about 2018 Real Estate Symposium Panel Report: Global Capital Flows: Thinking Beyond the Cycle
Business and Society, Corporate Finance, Leadership
Date
July 05, 2018
Richman Center Image
Business and Society, Corporate Finance, Leadership

Lessons in Leadership: Andrea Jung

Andrea Jung, president and CEO of Grameen America, shares lessons about values, hard work, and leadership.
  • Read more about Lessons in Leadership: Andrea Jung about Lessons in Leadership: Andrea Jung

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Related Faculty

Latest Financial Institution Research

Token-based Platform Finance

Authors
Lin Cong, Ye Li, and Neng Wang
Date
June 3, 2021
Format
Working Paper

We develop a dynamic model of platform economy where tokens serve as a means of payments among platform users and are issued to finance investment in platform productivity. Tokens are optimally issued to reward platform owners when the productivity-normalized token supply is low and burnt to boost the franchise value when the productivity-normalized normalized supply is high.

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Intermediation in the Interbank Lending Market

Authors
Ben Craig and Yiming Ma
Date
Forthcoming
Format
Journal Article

This paper studies systemic risk in the interbank market. We first establish that in the German interbank lending market, a few large banks intermediate funding flows between many smaller periphery banks. We then develop a network model in which banks trade off the costs and benefits of link formation to explain these patterns. The model is structurally estimated using banks' preferences as revealed by the observed network structure before the 2008 financial crisis.

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A Macroeconomic Model with Financially Constrained Producers and Intermediaries

Authors
Vadim Elenev, Tim Landvoigt, and Stijn Van Nieuwerburgh
Date
May 13, 2021
Format
Journal Article
Journal
Econometrica

How much capital should financial intermediaries hold? We propose a general equilibrium model with a financial sector that makes risky long-term loans to firms, funded by deposits from savers. Government guarantees create a role for bank capital regulation. The model captures the sharp and persistent drop in macro-economic aggregates and credit provision as well as the sharp change in credit spreads observed during the Great Recession.

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Learning about competitors: Evidence from SME lending

Authors
Olivier Darmouni and Andrew Sutherland
Date
May 1, 2021
Format
Journal Article

We study how small and medium enterprise (SME) lenders react to information about their competitors’ contracting decisions. To isolate this learning from lenders’ common reactions to unobserved shocks to fundamentals, we exploit the staggered entry of lenders into an information-sharing platform. Upon entering, lenders adjust their contract terms toward what others offer. This reaction is mediated by the distribution of market shares: lenders with higher shares or that operate in concentrated markets react less.

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CIP Deviations, the Dollar, and Frictions in International Capital Markets

Authors
Wenxin Du and Jesse Schreger
Date
May 1, 2021
Format
Working Paper

The covered interest rate parity (CIP) condition is a fundamental arbitrage relationship in international finance. In this chapter, we review its breakdown during the Global Financial Crisis and its continued failure in the subsequent decade. We review how to measure CIP deviations, discuss the drivers of CIP deviations, and the implications of CIP deviations for global financial markets.

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Redrawing the Map of Global Capital Flows: The Role of Cross-Border Financing and Tax Havens

Authors
Antonop Coppola, Matteo Maggiori, Brent Neiman, and Jesse Schreger
Date
May 1, 2021
Format
Journal Article
Journal
The Quarterly Journal of Economics

Global firms finance themselves through foreign subsidiaries, often shell companies in tax havens, which obscures their true economic location in official statistics. We associate the universe of traded securities issued by firms in tax havens with their issuer’s ultimate parent and restate bilateral investment positions to better reflect the financial linkages connecting countries around the world. Bilateral portfolio investment from developed countries to firms in large emerging markets is dramatically larger than previously thought.

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