Interest Rate Variability and the Financial Sector
Sponsored by the Center for Financial Innovation and Stability (Federal Reserve Bank of Atlanta) and the Center for the Economic Analysis of Risk (Georgia State University)
October 19–20, 2023

2023 Financial Markets Conference - Old Challenges in New Clothes: Outfitting Finance, Technology, and Regulation for the Mid-2020s
The Atlanta Fed's 2023 Financial Markets Conference will convene leading experts to discuss emerging financial market issues and their monetary policy implications.
May 14–17, 2023

Financial Innovation: A Threat to Financial Stability?
Sponsored by the Center for Financial Innovation and Stability (Federal Reserve Bank of Atlanta) and the Center for the Economic Analysis of Risk (Georgia State University)
October 6–7, 2022

26th Annual Financial Markets Conference - A New Era of Financial Innovation and Disruption: Challenges and Opportunities
The Atlanta Fed's 2022 Financial Markets Conference will convene leading experts to discuss emerging financial market issues and their monetary policy implications.
May 8–11, 2022

How Is the COVID-19 Experience Changing Finance?
Sponsored by the Center for Financial Innovation and Stability (Federal Reserve Bank of Atlanta) and the Center for the Economic Analysis of Risk (Georgia State University)
October 7–8, 2021

25th Annual Financial Markets Conference - Fostering a Resilient Economy and Financial System: The Role of Central Banks
The Atlanta Fed's 2021 Financial Markets Conference will convene leading experts to discuss emerging financial market issues and their monetary policy implications.
May 17–18, 2021

Financial Stability and the Coronavirus Pandemic
Sponsored by the Center for Financial Innovation and Stability (Federal Reserve Bank of Atlanta) and the Center for the Economic Analysis of Risk (Georgia State University)
October 19, 21, and 23, 2020

Financial System of the Future
Sponsored by the Center for Financial Innovation and Stability (Federal Reserve Bank of Atlanta) and the Center for the Economic Analysis of Risk (Georgia State University)
October 31–November 1, 2019

24th Annual Financial Markets Conference—Mapping the Financial Frontier: What Does the Next Decade Hold?
The 2019 Financial Markets Conference examined issues likely to affect the financial markets over the coming 10 years.
May 19–21, 2019

Financial Stability Implications of New Technology
Sponsored by the Center for Financial Innovation and Stability, Federal Reserve Bank of Atlanta and the Center for the Economic Analysis of Risk, Georgia State University
October 18–19, 2018

23rd Annual Financial Markets Conference—Machines Learning Finance. Will They Change the Game?
The 2018 conference explored aspects of machine learning and artificial intelligence.
May 6–8, 2018

Financial Regulation: Fit for the Future?
Sponsored by the Center for Financial Innovation and Stability, Federal Reserve Bank of Atlanta and the Center for the Economic Analysis of Risk, Georgia State University
November 2–3, 2017

22nd Annual Financial Markets Conference - Managing Global Financial Risks: Shifting Sands and Shockwaves
The 2017 Financial Markets Conference explored issues related to the future of global risk management.
May 7–9, 2017

The Impact of Extraordinary Monetary Policy on the Financial Sector
Sponsored by the Center for Financial Innovation and Stability, Federal Reserve Bank of Atlanta and the Center for the Economic Analysis of Risk, Georgia State University
December 1–2, 2016

21st Annual Financial Markets Conference—Getting a Grip on Liquidity: Markets, Institutions, and Central Banks
The 2016 Financial Markets Conference examined liquidity from academic, regulatory, and market participant points of view. We sought to understand the various definitions and aspects of liquidity with an emphasis on the relationship to financial stability and monetary policy effectiveness.
May 1–3, 2016

The Role of Liquidity in the Financial System
Sponsored by the Center for Financial Innovation and Stability, Federal Reserve Bank of Atlanta and the Center for the Economic Analysis of Risk, Georgia State University
November 19–20, 2015

20th Annual Financial Markets Conference: Central Banking in the Shadows: Monetary Policy and Financial Stability Postcrisis
Notable speakers and panelists exchanged views on the future of banks, potential regulation of shadow banks and the implications to monetary policy, and more.
March 30–April 1, 2015

Nonbank Financial Firms and Financial Stability
Sponsored by the Center for Financial Innovation and Stability, Federal Reserve Bank of Atlanta and the Center for the Economic Analysis of Risk, Georgia State University
November 6–7, 2014

Financial Markets Conference: Tuning Financial Regulation for Stability and Efficiency
The 2014 conference explored whether less active financial markets are safer ones, if new liquidity requirements will create a more efficient financial system, if quantitative easing was the right policy, and more.
April 15–16, 2014

Indices of Riskiness: Management and Regulatory Implications
Sponsored by the Center for Financial Innovation and Stability, Federal Reserve Bank of Atlanta; Center for the Economic Analysis of Risk, Georgia State University; Department of Banking and Finance, University of Zurich
November 14–15, 2013

Financial Markets Conference - Maintaining Financial Stability: Holding a Tiger by the Tail
The Atlanta Fed's 2013 Financial Markets Conference explored four critical topics: risk measurement; the influence of political systems on financial stability; rules versus discretion in financial regulation; and the resolution of systemically important financial institutions, or SIFIs.
April 8–10, 2013

Sovereign Debt and Default after the Financial Crisis of 2007–08
Cosponsored by the Center for Financial Innovation and Stability and the Federal Reserve Bank of Atlanta.
November 28–29, 2011

Fourth Annual JIMF Conference at the University of California, Santa Cruz
The Fourth Annual Journal of International Money and Finance Conference at the University of California, Santa Cruz is cosponsored by the JIMF, the Santa Cruz Institute for International Economics (SCIIE), and the Federal Reserve Banks of Atlanta and San Francisco.
September 23–24, 2011

The International Dimensions of the Financial Crisis of 2007–2008
Cosponsored by the Center for Financial Innovation and Stability, Federal Reserve Bank of Atlanta; the Journal of International Money and Finance and the Frank J. Petrilli Center for Research in International Finance, Fordham University; and the Centre for Economic and International Studies, University of Rome Tor Vergata
December 13, 2010

The Financial Crisis of 2008, Credit Markets and Effects on Developed and Emerging Economies
The 10th annual conference of the Central Bank of Brazil
Cosponsored with the Central Bank of Brazil, the Bank of Finland, and the Journal of Financial Stability
August 11-12, 2010

V Annual Seminar on Banking, Financial Stability and Risk
Sponsored by the Central Bank of Brazil
August 13, 2010

Regulating Systemic Risk
October 30, 2009

Short Selling: Costs and Benefits
October 9, 2009

Presentations

Money Markets Freeze: Causes and Developments since August 2007
Panel session on "Financial Stability: Experiences on Both Sides of the Atlantic"
Gerald P. Dwyer Jr.
INFINITI Conference on International Finance
Trinity College, Dublin
June 9, 2009

The Financial Turmoil from 2007 to 2009
Keynote address, Labor Market Information Training Institute
Gerald P. Dwyer Jr.
New Orleans, La.
February 3, 2009