Dr. Oren Levintal

Tiomkin School of Economics

Areas of expertise

  • Oren Levintal studies macroeconomics, with a special focus on the effects of risk and risk aversion on asset prices, business cycles and financial crises. His work includes development of new solution methods to economic models with strong risk effects, such as bankruptcy risk and financial disaster risk. Oren Levintal received his Phd in economics from the Hebrew University. He was a Post-doctoral fellow at the European University Institute, and a visiting fellow at the University of Pennsylvania.

  • "The Real Effects of Banking Shocks: Evidence from OECD Countries," Journal of International Money and Finance, 32 (2013), 556-578.