Welcome to my website.
I am the Director of the Systemic Risk Analytics Division at the Bank of Canada. I received my Ph.D. in Economics from Columbia University. I am also a Research Fellow at the Centre for Monetary and Financial Economics at Carleton University.
My research interests lie in theoretical and applied econometrics, time series and panel data models, and Bayesian econometrics with applications to macroeconomics, monetary economics, and finance.