Contributor Name: Haakon Kavli

Håkon Kavli is a Portfolio Manager at Storebrand. He previously worked as a Lecturer of Economics and Finance at the University of Cape Town. He obtained a Ph.D. in Economics from the University of Pretoria and is skilled in Portfolio Management, Macroeconomics, and Quantitative Analytics.

publication
Policy Brief
Portfolio Flows in a two-country RBC model with financial intermediaries
publication
Policy Brief
Portfolio Flows in a two-country RBC model with financial intermediaries