
Dr. Adrian Cantemir Călin is a Professor of Finance and Macroeconomics at the Bucharest University of Economic Studies. He holds a Ph.D. in International Business and Economics from the same institution and specializes in international finance, monetary policy, macroeconomic modeling, and financial stability. He serves as the Head of the Department of Modeling and Macroeconomic Forecasting at the Institute for Economic Forecasting, Romanian Academy. His research has been published in leading academic journals, including Economics Letters, Economic Modelling, International Review of Finance, and the North American Journal of Economics and Finance. His current research focuses on the impact of asset price bubbles across various financial sectors.