Presenters

Fulvia Fringuellotti

Federal Reserve Bank of New York

Gustavo Fruet Dias

University of East Anglia

Gustavo is an Associate Professor in Economics at UEA since Aug/2019. He holds a PhD in Economics from Queen Mary, University of London (2013). Gustavo's research areas are econometrics (econometric theory, financial econometrics, time series analysis, forecasting, Big Data, and high-frequency econometrics) and financial economics (empirical market microstructure).

Hsuan Fu

Université Laval

Drew Fudenberg

Clemens Fuest

ifo Institute - Leibniz Institute for Economic Research at the University of Munich

Prof. Clemens Fuest, born in 1968, is President of the ifo Institute e.V., Director of CESifo GmbH, Professor of Economics at the University of Munich and Director of the Center for Economic Studies (CES) of the University of Munich. Among numerous other memberships he is a member of the Academic Advisory Board of the German Federal Ministry of Finance and the European Academy of Sciences and Arts. His research areas are Economic and Fiscal Policy, International Taxation and European Integration

Ippei Fujiwara

Hiroki Fukai

Anne Kathrin Funk

ETH Zurich

I am Postdoctoral Researcher in the Business Tendency Survey unit at the KOF Swiss Economic Institute of ETH Zurich. I hold a PhD in International Economics (summa cum laude) from the Graduate Institute of International and Development Studies in Geneva. During my PhD I worked as Research Analyst in the Monetary Policy Strategy Division of the European Central Bank. My research interests are applied macroeconomics, in particular monetary policy.

Beata Gafka

Said Business School, University of Oxford

I am a PhD Candidate in Finance at Saïd Business School, University of Oxford. I will be on the 2022 Job Market and available for interviews at the virtual EJME 2021 and ASSA 2022.

In my research I focus on asset pricing and macro finance.

Before starting my doctorate degree, I obtained an MSc in Finance from Bocconi University, Milan and spent two years working in investment banking in London with a particular focus on the provision of client clearing and collateral solutions for derivatives

Alexandre Gaillard

TOULOUSE SCHOOL OF ECONOMICS