Study our datasets and research papers and explore how household financial markets
(such as mortgage, pension, and risky asset markets) are set up around the world.

Name Affiliation Country Research field
Agarwal, S.
Associate Professor of Finance
National University of Singapore Singapore Housing and mortgage debt
Agnew, J.
Associate Professor of Finance and Economics
College of William and Mary United States Risky asset portfolio choice
Alessie, R.
Professor of Micro-econometrics
University of Groningen Netherlands Risky asset portfolio choice
Almenberg, J.
Economist
Swedish Ministry of Finance Sweden Pensions
Ambrose, B.
Professor of Risk Management
Pennsylvania State University United States Housing and mortgage debt
Ameriks, J.
Principal and Head of Active Equity
Vanguard Group United States Risky asset portfolio choice
Ampudia, M.
Economist
European Central Bank Euro area Risky asset portfolio choice
Amromin, G.
Senior Financial Economist
Federal Reserve Bank of Chicago United States Housing and mortgage debt
Anagol, S
Assistant Professor
University of Pennsylvania United States Risky asset portfolio choice
Andersen, S
Professor
Copenhagen Business School Denmark Housing and mortgage debt
Anderson, A.
Deputy Director of the Swedish House of Finance
Stockholm School of Economics Sweden Risky asset portfolio choice
Archer, W. R.
Professor
University of Florida United States Housing and mortgage debt
Aron, J.
Research Officer
University of Oxford United Kingdom Housing and mortgage debt
Assuncao, J.
Assistant Professor of Economics
PUC Rio Brazil Consumer credit
Atif, M.
Professor of Economics and Public Policy
Princeton University United States Housing and mortgage debt
Attansio, O.
Professor of Economics
University College London United Kingdom Risky asset portfolio choice