Adrien is an Assistant Professor of Finance at the Stockholm School of Economics. His research interests are in finance, macroeconomics, and asset pricing. Adrien is looking to further our understanding of the links between financial markets and business cycles.
Education: Ph.D. in Economics - University of California, Los Angeles Co-Advisors: Andrew Atkeson and Lee Ohanian
Adrien dAvernas and Saki Bigio (2020). Financial Risk Capacity. American Economic Journal: Macroeconomics, Forthcoming
Andrew G Atkeson, Adrien d'Avernas, Andrea L Eisfeldt and Pierre-Olivier Weill (2018). Government Guarantees and the Valuation of American Banks. NBER Macroannual 2018, vol. 33