Contributor : Profile
Karsten Müller is an Assistant Professor of Finance and Presidential Young Professor at the National University of Singapore's Business School. He is also a Research Fellow at the NUS Risk Management Institute. His research focuses on the intersection of finance, macroeconomics, and political economy. His current research mostly focuses on the connection between credit markets and the macroeconomy, with a focus on the role of government interventions. Before joining NUS, he worked as a postdoctoral researcher at Princeton University. He received his PhD from the University of Warwick in 2018
Posts by Karsten Muller
When is corporate debt a threat to macroeconomic stability?
Since the 2007-08 Global Financial Crisis, policymakers have focused on household debt as the primary risk factor for macroeconomic stability. Should they be similarly worried about corporate debt? Ba...
- Victoria Ivashina Şebnem Kalemli-Özcan Luc Laeven Karsten Muller
- 18 October, 2024
- Articles