What are the main sources of aggregate fluctuations? How do the financial markets react to macroeconomic surprises and policy regime changes? What are the empirical properties of the main macro-finance variables? How is fair-value accounting related to the business cycle? These are only some of the questions that the Maco-Finance group does extensive research on.
Contacto
Antonio Moreno Ibáñez
antmoreno@unav.es
