I am a Research Economist at Bank of England. I hold a Ph.D. in Economics from the European University Institute under the supervison of Russell W. Cooper and Ramon Marimon.

My research interests are in Quantitative Macroeconomics, with a particular focus on monetary and macro-prudential policies, household and corporate finance, as well as structural parameter estimation.

During my PhD studies, I have visited the University of Pennsylvania thanks to a La Caixa Foundation fellowship, and I have also been a Ph.D. Trainee at the Research Division (DGR) of the European Central Bank, and a Ph.D. Intern and Academic Consultant at the Macro Financial Risk Division (MRD) of the Bank of England.

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Contact Information

Bank of England
Macro Financial Risk Division
Financial Stability Strategy and Risk
Bank of England, 20 Mortgage, London, EC2R 6DA