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Professor of Economics, Director of the Semester on Wall Street and Director of the Master in Finance program.
Areas of expertise: Financial markets, monetary policy structures, options listings
Marc Tomljanovich’s research focuses on the impact of monetary policy structures and information releases on financial markets, the influence policymakers have on regional and national economic growth and the effects of options listings on underlying financial instruments. His work has appeared in numerous journals and he writes a weekly education piece for The Wall Street Journal. In 2006, he earned a National Science Foundation grant that helped fund an annual national workshop for macroeconomics research at liberal arts colleges.