About
Prof. Martin R. Götz is a Research Professor at the Research Centre of the Deutsche Bundesbank. His research focuses on Financial Economics, Banking, Industrial Organization, and Applied Microeconomics. He has contributed to understanding bank stability, geographic expansion risks, and corporate governance impacts on equity issuance. His work frequently examines regulatory frameworks and their implications for financial systems.
Recent studies include analyzing how bank insider ownership affects capital structures post-2008 crisis and exploring financial integration's role in economic synchronization across U.S. states. His publications appear in journals like the Journal of Financial Intermediation and Journal of International Economics.
He holds a Ph.D. and has been affiliated with the Bundesbank's Research Centre since 2020. His contributions include policy-oriented analyses on topics like ELA credit policies and banking misconduct penalties in the EU. He collaborates on initiatives such as the Survey on Consumer Expectations (BOP-HH) and Green Finance research.
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