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Dirk Schoenmaker

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<strong>Dirk</strong> <strong>Schoenmaker</strong><br />

Address: Duisenberg school of finance<br />

Gustav Mahlerplein 117<br />

1082 MS Amsterdam<br />

Phone: +31 20 525 8583<br />

E-mail: dirk.schoenmaker@dsf.nl<br />

Marital status: Married with three children<br />

Date of birth: 26 February 1967<br />

Nationality: Dutch<br />

Education<br />

1991-1996 PhD in Economics<br />

London School of Economics<br />

1985-1991 Master in Business Economics, Cum Laude<br />

Master in Law<br />

Erasmus University Rotterdam<br />

Current positions<br />

2009-present Dean, Duisenberg school of finance<br />

2004-present Professor of Finance, Banking & Insurance<br />

VU University Amsterdam<br />

Past positions<br />

2008-2009 Director European Affairs, Competition & Consumer Policy<br />

Ministry of Economic Affairs<br />

1998-2008 Deputy Director Financial Markets Policy<br />

Head Financial Stability Division<br />

Ministry of Finance<br />

1996-1998 Senior Analyst Banking Supervisory Policy<br />

Bank of England<br />

1991-1996 Research Officer on Financial Regulation<br />

Financial Markets Group<br />

London School of Economics<br />

Other professional positions<br />

2011-present Member, Advisory Scientific Committee, European Systemic Risk Board<br />

1995-present Consultant on several projects for IMF and OECD<br />

2002-2008 Deputy Member, Financial Services Committee<br />

Member, European Banking Committee<br />

European Union<br />

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Journal articles<br />

‘Systemic Risk & Diversification across European Banks and Insurers’, Journal of Banking<br />

& Finance, 2013, forthcoming (co-authors: Jan Frederik Slijkerman and Casper de Vries).<br />

‘Bank Resolution Plans as a Catalyst for Global Financial Reform’, Journal of Financial<br />

Stability, 2013, forthcoming (co-authors: Emilios Avgouleas and Charles Goodhart).<br />

‘Banking Supervision and Resolution: The European Dimension’, Law and Financial Markets<br />

Review, 6, 2012, p.52-60.<br />

‘The Financial Trilemma’, Economics Letters, 111, 2011, p.57-59.<br />

‘In Banking, Is Small Beautiful?’, Financial Markets, Institutions & Instruments, 19(1),<br />

2010, p.1-19 (co-author: Jean Dermine).<br />

‘Fiscal Burden Sharing in Cross-Border Banking Crises’, International Journal of Central<br />

Banking, 5, 2009, p.141-165 (co-author: Charles Goodhart).<br />

‘The Emergence of Cross-Border Insurance Groups within Europe with Centralised Risk<br />

Management’, Geneva Papers on Risk and Insurance - Issues and Practice, 33, 2008,<br />

p.530-546 (co-authors: Sander Oosterloo and Otto Winkels).<br />

‘Financial Supervision in an Integrating Europe: Measuring Cross-Border Externalities’,<br />

International Finance, 8, 2005, p.1-27 (co-author: Sander Oosterloo).<br />

‘The Skill Profile of Central Bankers and Supervisors’, European Finance Review, 6, 2002,<br />

p.397-427 (co-authors: Charles Goodhart and Paolo Dasgupta).<br />

‘Should the Functions of Monetary Policy and Banking Supervision be Separated?’, Oxford<br />

Economic Papers, 47, 1995, p.539-560 (co-author: Charles Goodhart).<br />

Books and Reports<br />

Governance of International Banking: The Financial Trilemma, Oxford University<br />

Press, New York, 2013.<br />

Financial Markets and Institutions: A European Perspective, Second Edition,<br />

Cambridge University Press, Cambridge, UK, 2012, (co-authors: Jakob de Haan and Sander<br />

Oosterloo).<br />

Cross-Border Banking in Europe: Implications for Financial Stability and<br />

Macroeconomic Policies, CEPR Report, London, 2011 (co-authors: Franklin Allen,<br />

Thorsten Beck, Elena Carletti, Philip Lane, and Wolf Wagner).<br />

A Safer World Financial System: Improving the Resolution of Systemic Institutions,<br />

12th Geneva Report on the World Economy, ICMB, Geneva, and CEPR, London, 2010 (coauthors:<br />

Stijn Claessens and Richard Herring).<br />

European Financial Markets and Institutions, Cambridge University Press, Cambridge,<br />

UK, 2009 (co-authors: Jakob de Haan and Sander Oosterloo).<br />

Financial Supervision in Europe, Edward Elgar, Cheltenham, 2003 (co-editors: Jeroen<br />

Kremers and Peter Wierts).<br />

Working papers are available on SSRN: http://ssrn.com/author=75059<br />

Awards<br />

Barclays Global Investors Award for best paper at European Finance Association Meetings in<br />

2001.<br />

Equity & Law Award for master thesis ‘Integration of National Capital Markets’ in 1990.<br />

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