
معرفی
Marco Grotteria is an Assistant Professor of Finance at London Business School, holding a PhD in Finance from the Wharton School at the University of Pennsylvania. His research bridges financial theory with macroeconomic and political dynamics.
Research Interests:
- Asset pricing and its macroeconomic determinants
- Intersection of politics and financial markets
- Monetary policy and risk-free interest rates
- Real-time price discovery via textual analysis
Publication Trends: His work appears in leading journals such as the Review of Economic Studies, Journal of Financial Economics, and Review of Financial Studies, focusing on cyclical risk patterns, political economy of finance, and macroeconomic influences on asset valuation.
Contact Details:
- Email: mgrotteria@london.edu
- Phone: +44 (0)20 7000 8205
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