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About me

I am a Ph.D candidate in University of Toulouse and my research field is Systemic risk measure, Financial Stability and Banking Regulation. Research help is from Toulouse School of Economics.

I am also a junior Analyst-Economist in French Central Bank, Financial Stability Department - Macrofinance Division.

Current research:

    • Impact of Basel III - An increase in capital requirement will lead a credit rationning in credit market?

    • A macro-prudential policy - Provide systemic risk measures (based on shapley value, CoVar,ect.) to capture finaincial institution's contribution of risk to the whole financial system.

    • Banking regulation - Does a banking taxation is needed? If yes, what is the optimal way to tax them?