I am a Research Economist at Bank of England and a Ph.D. Candidate in Economics at the European University Institute. My advisors are Russell W. Cooper and Ramon Marimon.

My research interests are in Quantitative Macroeconomics and Time Series Econometrics, with a particular focus on monetary policy, household and corporate finance. I also work on estimation methods for DSGE models.

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.

News

  • In September 2024, I will be joining the Bank of England as a Research Economist within thier PhD Research Programme.

  • Our paper “The aggregate and distributional implications of credit shocks on housing and rental markets” jointly with Andrew Hannon & Gonzalo Paz-Pardo just got released as an ECB Working Paper.

Contact Information

Bank of England
Macro-Financial Risk Division
20 Mortgage
London EC2R 6DA, United Kingdom