معرفی
Hannes Wilke is a Research Professor at the Bundesbank's Research Centre, part of the Directorate General Financial Stability. His work focuses on systemic risk, financial markets, asset management, climate-related risks, and financial stability. He contributes to policy-relevant research on institutional investors, fund flows, and green transition challenges.
His research emphasizes empirical analyses of financial markets, including mutual fund dynamics, cross-holdings, and the role of financial analysts. Recent studies address climate transition risks in the German financial sector through stress testing frameworks. He has published in top journals like the Review of Financial Studies and International Journal of Finance & Economics.
Wilke's research spans over two decades, with contributions to understanding market efficiency, information leadership by analysts, and macroprudential policy design. His work bridges academia and policymaking, addressing practical challenges in financial stability and innovation management.
Hannes Wilke در سایتهای دیگر
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