David-Jan Jansen

In his research, David-Jan Jansen studies the economics of EMU, household behaviour, international finance, and monetary policy. Within these fields, he works on a range of topics, including central bank communication, financial market efficiency, inflation expectations, investor attention and mood, and the general public's trust in the financial sector. His educational background is in economics (Dr 2006, MSc 2002) and history (BA 2011), and his publications include articles in the Journal of Economic Literature, the Journal of International Money and Finance, and the Review of Finance.