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The goal of this course is to help students understand more deeply the relations and
processes which exist between key macroeconomic variable, such as inflation or interest
rates, and the financial markets, while providing an overview of macroeconomic and financial
sector related risks.
We focus specifically on the economic and financial risks stemming from
the escalation of the pandemic of COVID 19. We also study several short and long term
economic and financial sector scenarios for the countries of the EU 27 and small and open
economies in the post COVID-19 environment.