Ingomar is a Principal Researcher in the Financial Markets Department at the Bank of Canada. Prior to his current role, he served as a Senior Economist at the Bank of Canada and was a postdoctoral researcher in the Department of Finance at Copenhagen Business School in Denmark. He received his PhD in Finance from Warwick Business School in the United Kingdom.
His research focuses on international finance, financial markets, and empirical asset pricing. In recent work, he has analyzed exchange rate dynamics and examined institutional characteristics and trading behavior in the foreign exchange market. During his PhD, he visited the Monetary and Economic Department at the Bank for International Settlements in Switzerland and the Research Department at Norges Bank in Norway.
His work has been published in leading academic journals and presented at seminars and conferences hosted by the Bank for International Settlements, Bank of England, Hong Kong Monetary Authority, Federal Reserve Bank of New York, Federal Reserve Bank of San Francisco, Banco Central do Brasil, and Norges Bank. His papers have been included in the programs of various prominent academic conferences and workshops, including the AFA, EFA, FMA, NFA, the Workshops on Financial Determinants of Foreign Exchange Rates, the Annual Hedge Fund Conference, and the Symposium on Foreign Exchange Markets.
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