I am an Economist at the Financial Stability Division in the Bank of England. My interests lie in the areas of market structure, macroprudential and microprudential policies and their interactions, international macroeconomics, political economy, international financial integration, banking, and systemic risk.
I have a PhD in Statistics and Applied Mathematics from the joint program at Vilfredo Pareto Doctorate in Economics (University of Turin) and Collegio Carlo Alberto, where I've taught graduate level economic courses. Prior to joining the Bank of England, I also worked in the private sector as a quantitative analyst on issues related to different areas including asset management, risk management, and policy implementation.
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