Format: Soundcloud

  1. The ‘Equivalence Tussle’ – EU & UK Regulatory & Financial Market Developments Post-Brexit

    Jean-Jacques Van Helten interviewed by Jan Trevisan (Florence School of Banking & Finance) recorded on 7 June 2021 Published on 12 June 2021.

    12 June 2021

  2. Brexit again? EU-UK uncoupling & divergences in capital markets

    Jean-Jacques Van Helten interviewed by Christy Petit (Florence School of Banking & Finance)

    4 August 2020

  3. Preparing and Executing Bank Resolution

    Katerina Theodossiou (Bank of Greece) interviewed by Jan Trevisan (Florence School of Banking & Finance)

    23 April 2020

  4. Bank Resolution and Recovery in Europe

    Jens-Hinrich Binder (Professor at the University of Tübingen) interviewed by Christy Petit (Florence School of Banking & Finance).

    8 April 2020

  5. Banks, Sovereign Debt and the ‘Doom loop’

    Bruno Maria Parigi (Professor of Economics, University of Padova) interviewed by Jan Trevisan (Florence School of Banking & Finance).

    12 March 2020

  6. A ‘doctrine’ for macroprudential regulation

    Jean-Charles Rochet (Professor of Banking at the University of Geneva) interviewed by Jan Trevisan (Florence School of Banking & Finance).

    5 March 2020

  7. Derivatives Market: Valuation and Regulation

    Robert McDonald (Chair in Banking and Professor of Finance at the Kellogg School of Management, Northwestern University) and Fabrizio Planta (Head of Markets Department at ESMA) interviewed by Christy Petit (Florence School of Banking & Finance).

    26 February 2020

  8. The Regulatory Framework for Insurance in Europe

    Yildiz Ekinci, formerly Seconded National Expert at EIOPA (European Insurance and Occupational Pensions Authority) interviewed by Christy Petit (Florence School of Banking & Finance)

    19 February 2020

  9. Macroprudential Policy in Insurance

    Petr Jakubik (Financial Stability Team Leader at EIOPA, the European Insurance and Occupational Pensions Authority) interviewed by Christy Petit (Florence School of Banking & Finance).

    12 February 2020

  10. Climate change, risk management and corporate responsibility

    Anne Platou (Sustainability Manager at DNB Bank) interviewed by Jan Trevisan (Florence School of Banking & Finance).

    5 February 2020

  11. Green Financial Investments

    Mitch Carpen (Head of Risk Management & Compliance at the Green Climate Fund) interviewed by Jan Trevisan (Florence School of Banking & Finance).

    22 January 2020

  12. The Impact of FinTech on European Regulation and Supervision

    Elisabeth Noble (Senior Policy Expert at the European Banking Authority) interviewed by Jan Trevisan (Florence School of Banking & Finance).

    15 January 2020

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