Fabio Verona

Adviser, Research unit, Bank of Finland

Fabio Verona works as adviser in the Research Unit of the Bank of Finland.  His main area of research is macro-finance, both theoretical and applied. Recent work has focused on applying wavelets methods to forecast stock market returns and to study the dynamics of investment behavior. Past research focused on including informational and financial frictions in DSGE models.

Before joining the Bank of Finland, he was a “Robert Solow” post-doc fellow at the Institute for Monetary and Financial Stability (Goethe University Frankfurt). He obtained his PhD in Economics from the University of Porto in May 2011, and was a visiting PhD student at Columbia University for the academic year 2009-2010. 

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09 May 2018, 5143 reads

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