|Professor in Macroeconomics in the Business School||MHL 353||+44 (0) 191 33 45198|
Tatiana Damjanovic joined the Department of Economics at the University of Durham as a Professor in 2015. She obtained her first degree in Functional Analysis, Mathematics from the Moscow State University. Then she got a Master degree from the New Economic School and worked as a Domestic Debt Expert for the Ministry of Finance of the Russian Federation. She hold Ph.D. from the Stockholm School of Economics under supervision of Lars Ljungqvist. Tatiana previously worked as an Associate professor at the University of Exeter and as a lecturer and Reader at the University of St. Andrews. Her primary research area is Macroeconomics and Banking.
- Monetary policy
- Macro-prudential policy
- Economics of Banking
- Public economics
- Fiscal policy
- 2019: MMF (The Money Macro and Finance) Committee member: The Money Macro and Finance (MMF) research group ;runs a wide range programme of events seeking to promote and disseminate macroeconomic research for academics, policymakers and business economists. ;
- 2019: FCT Evaluation Panel in Economics member: FCT is the Portuguese national funding agency for science, research and technology.
- 2017: Academy of Finland review panel in economics: ;Tatiana Damjanovic was invited to ;act as a member of the review panel for research project proposals in the field of economics ;by the Research Council for Culture and Society of the Academy of Finland
- Damjanovic, T., Damjanovic, V. & Nolanz, C. (2021). Unconditionally Optimal Ramsey policy. Journal of Macroeconomics
- Cooke, D & Damjanovic,T. (2020). Optimal Fiscal Policy in a Model of Firm Entry and Financial Frictions. Review of Economic Dynamics 35: 74-96.
- Damjanovic, T. & Selvaretnam, G. (2020). Economic Growth and Evolution of Gender Equality. The Manchester School 88(1): 1-36.
- Damjanovic, Tatiana, Damjanovic, Vladislav & Nolan, Charles (2020). Default, bailouts and the vertical structure of financial intermediaries. Review of Economic Dynamics 38: 154-180.
- Damjanovic, T., Girdėnas, S. & Liu, K. (2015). Stationarity of econometric learning with bounded memory and a predicted state variable. Economics Letters 130: 93-96.
- Damjanovic, T., Damjanovic, V. & Nolan, C. (2015). Ordering Policy Rules with an Unconditional Welfare Measure. International Journal of Central Banking 11(1): 103-149.
- Damjanovic, T. & Girdėnas, Š. (2014). Quantitative easing and the loan to collateral value ratio. Journal of Economic Dynamics and Control 45: 146-164.
- Damjanovic, T. & Nolan, C. (2011). Second Order Approximation to the Rotemberg Model around a Distorted Steady State. Economics Letters 110(2): 132-135.
- Damjanovic, T. & Nolan, C. (2010). Seigniorage-maximizing inflation. Journal of Money, Credit and Banking 42(2-3): 503-519.
- Damjanovic, T. & Nolan, C. (2010). Relative Price Distortions and Inflation Persistence. Economic Journal 120(547): 1080-1099.
- Damjanovic, T. & Ulph, D. (2010). Tax Progressivity, Income Distribution and Tax Non-Compliance. European Economic Review 54(4, mAY 2010): 594-607.
- Damjanovic, T., Damjanovic, V. & Nolan, C. (2008). Unconditionally Optimal Monetary Policy. Journal of Monetary Economics 55(3): 491-500.
- Damjanovic, Tatiana & Nolan, Charles (2006). SOME WELFARE IMPLICATIONS OF OPTIMAL STABILISATION POLICY IN AN ECONOMY WITH CAPITAL AND STICKY PRICES. Scottish Journal of Political Economy 53(1): 47.
- DAMJANOVIC, TATIANA (2006). ON THE POSSIBILITY OF PARETO-IMPROVING PENSION REFORM. The Manchester School 74(6): 711.
- Damjanovic, Tatiana (2005). Lorenz dominance for transformed income distributions: A simple proof. Mathematical Social Sciences 50(2): 234.
- PASTOR, GONZALO & DAMJANOVIC, TATIANA (2003). The Russian Financial Crisis and Its Consequences for Central Asia. Emerging Markets Finance and Trade 39(3): 79.
- Cooke, Dudley & Damjanovic, Tatiana (2018). The Macroeconomic Implications of Firm Selection. 1.
- Damjanovic, T., Damjanovic, V. & Nolan, C. (2017). Unconditionally Optimal Ramsey policy. 2017(01).
- Damjanovic, T., Damjanovic, V. & Nolan, C. (2016). Risk Management and the Money Multiplier. 2016(03): 3.