Macroeconomics and Financial Markets
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Course Description
This PhD course will cover research topics at the boundary between macroeconomics and finance. Topics will include the study of macroeconomic models with financial frictions, the term structure of interest rates, conventional and unconventional monetary policy, sovereign debt crises, search frictions and segmentation in housing markets, (over)leveraging by households, heterogeneous expectations, excess volatility, financial bubbles and crises. Student presentations and course paper requirement. Designed for second year PhD students in economics or finance.
Grading Basis
GLT - GSB Letter Graded
Min
3
Max
3
Course Repeatable for Degree Credit?
No
Course Component
Workshop
Enrollment Optional?
No