• 2012 - 2017
    PhD in Economics, European University Institute, Florence, Italy.
    Adviser: Fabio Canova.

    Dissertation Title: “Macro-Financial Linkages, and the Role of Unconventional Monetary and Macroprudential Policy”.

    Visitor at Tinbergen Institute, Amsterdam.

  • 2011 - 2012
    MPhil in Economics, University of Cambridge, UK.
    Dissertation: “Unconventional Monetary Policy and Credibility in the Euro Area”.
  • 2008 - 2011
    BSc in International Economic Studies, Maastricht University, Netherlands.

    Degree conferred cum laude. Completed Honours and Maastricht Research Based Learning Programme.
    Dissertation: “The Procyclicality of European Credit Ratings”.
    Exchange semester at Sciences Po, Paris.

Work Experience

  • 2017 - current
    Research Economist, Bank of England, London, UK.
    Macroprudential Strategy and Support Division

    Financial Stability Strategy and Risk

  • 2016
    PhD Internship, Riksbank, Stockholm, Sweden.
    Monetary Policy – Research Division
  • 2014 - 2015
    PhD Traineeship, European Central Bank, Frankfurt, Germany.
    International Policy Analysis Division
  • 2011
    Internship, DIW (German Institute for Economic Research), Berlin, Germany.
    Macroeconomics Department