
معرفی
Dr. Daniel Marcel te Kaat is an Associate Professor of Finance at the University of Groningen's Faculty of Economics and Business. He concurrently serves as an Adjunct Professor at Osnabrück University. His research focuses on International Finance, Empirical Banking, and Monetary Policy, with a particular emphasis on capital flows, banking systems, and policy impacts. He previously held visiting roles at Johns Hopkins University, the International Monetary Fund, and the Deutsche Bundesbank.
Dr. te Kaat earned a PhD in Economics from the University of Osnabrück (2014–2018), summa cum laude, following a M.Sc. (2012–2014) and B.Sc. (2009–2012) in Economics from the University of Bonn. His career includes research stints at the IMF and Bundesbank, and he remains active in academic collaborations, including the Management Science Reproducibility Collaboration.
His recent research explores topics such as cross-border capital flows, the effects of quantitative easing on housing markets, and the macroeconomic implications of bank bailouts. His work often bridges empirical finance, policy analysis, and international economics, contributing to debates on financial stability and global economic dynamics.
Teaching responsibilities include courses on Economics of Banking, Asset Pricing, and Macroeconomics. His publications span top-tier journals like the Journal of Money, Credit, and Banking and Journal of Financial Stability, reflecting his commitment to advancing understanding of modern financial systems.
Daniel Marcel te Kaat در سایتهای دیگر
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Valeriya DingerUniversity of Osnabrück · استاد- AAlessandro RebucciJohns Hopkins University · استاد
Michael KühlFederal Bank of Germany University · استاد پژوهشی
Christian BittnerFederal Bank of Germany University · پژوهشگر ارشد
Peter BofingerUniversity of California , Santa Barbara (UCSB) · استاد
Maik SchmelingCity, University of London · استاد مهمان