Aris Protopapadakis

Expert on the European debt crisis, stock market volatility, monetary and fiscal policy, international finance, and foreign exchange risk

Associate Professor, Finance and Business Economics
USC Marshall School of Business


  • monetary and fiscal policy, both domestic
    and international
  • international finance
  • foreign exchange risk
  • stock market volatility
  • the effects of government budget deficits
    on interest rates and stock returns
  • macroeconomics

Additional Information

      Associate Editor, Journal of International Financial Markets, Institutions


      and Money


      Headed macroeconomic research group at Federal Reserve Bank of




  • Turkish
  • Greek

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