Areas of Interest:
Model Validation for Financial Risk Management
Developing robust methodologies to improve the accuracy and reliability of financial risk models.
Financial Vulnerabilities Analysis
Identifying key controls, risk indicators (KRIs), and performance indicators (KPIs) to strengthen financial systems.
Poverty Vulnerability Assessment
Analyzing structural factors and policy implications to mitigate risks associated with poverty.
Uncertainty in Development and Structural Change
Examining the complexities of economic evolution under uncertainty, focusing on developmental trajectories and structural shifts.