Research

The FINNOV project will lead to a deeper understanding of these complex relationships between innovation and financial markets in order to inform policy and practice within a post-financial crisis Europe. The key themes that will be explored across the 7 empirical Work Packages (WP) are:

  • Finance and the Economics of Risk and Uncertainty
  • The Interaction between Financial Institutions, Modes of Financing, and Innovation and Growth
  • Links between Economics of Innovation and Inequality

The FINNOV project is comprised of seven research Work Packages (and one management and co-ordination Work Package, WP 1).

Work Package Title Lead Institution
WP 2 SELECTION
Co-Evolution of Industry Dynamics and Financial Dynamics
The Open University, UK
WP 3 EXPERIMENTATION
Capital Markets and Innovation: Financing Business Experimentation in Europe
University of Cambridge, UK
WP 4 PERFORMANCE
Finance, Constraints to Growth, Bankruptcy, and Employment Dynamics
Sant'Anna School of Advanced Studies, Italy
WP 5 GOVERNANCE
Corporate Governance and Innovation: Implications for Stable and Equitable Economic Growth
University of Bordeaux, France
WP 6 ASSETS
Asset Prices, Consumption, and Income Distribution
Economics Institute, Czech Republic
WP 7 AGENTS
Modelling Micro Macro Links and Policy Implications
Polytechnic University of Marche, Italy
WP 8 TRAJECTORIES
Technological Trajectories and Financial Services
University of Sussex, UK