Asset Pricing, Macrofinance, Monetary Policy
Tomas Jankauskas is a financial research economist in Capital Markets Studies within the Financial Stability Policy Research Division. He conducts empirical research in asset pricing and empirical industrial organization literature on topics related to the term structure of risk premia and monetary policy. He holds a Ph.D. in Finance and an M.Phil. in Finance from Tilburg University, and a B.Sc. in Economics from Vilnius University.
Tomas Jankauskas' CV