Skip to main content
  • This website sets cookies on your device. To find out more about how we use cookies please refer to our Privacy and Cookie Policy. By continuing to use the site, we’ll assume that you are content for us to set these on your device.
  • Close
Home > Research > Caspar Siegert
 

Caspar Siegert

Senior Economist - ​Macroprudential Strategy and Support Division ​

Caspar Siegert
Caspar is a Senior Economist in the Macroprudential Strategy and Support Division of the Bank of England. He received his PhD in Economics from the University of Munich, and spent part of his PhD at the Toulouse School of Economics and Kellogg School of Management.

Caspar's research interests include corporate finance, financial intermediation, behavioural finance, and contract theory.
​Email Caspar | Caspar Siegert at IDEAS

​Selected Academic Publications ​

Optimal tolerance for failure
with Piers Trepper, Journal of Economic Behavior & Organization (2015)
​​Bonuses and managerial misbehaviour
European Economic Review (2014)
​ ​

​​Bank Publications ​

Date Title

​Bank Underground blog posts

The art of the deal: what can Nobel-winning contract theory teach us about regulating banks?
March 2017