I am a postdoctoral research fellow at Scuola Normale Superiore in Pisa and External Collaborator of the Quant Research Group of Fineco Asset Management.
I got my PhD in Economics from Scuola Superiore Sant'Anna. Before going back to academia in October 2022, I worked almost two years at the European Central Bank in the Market-based Finance Division (DGMF-MBF), where I have contributed to multiple policy publications and international workstreams with a strong focus on the supervision of cleared and non-centrally cleared derivative markets.
My research interests include Financial Econometrics, Non-Normal identification strategies, Economic and Financial networks. I try to keep a strong a policy-oriented view toward both the recent challenges for macroprudential policies and financial markets microstructure.
In my webpage you can find my past and current research projects, including both academic oriented articles published in peer-reviewed journals and policy-oriented technical reports.
Link to my CV
Link to my Google Scholar profile
Link to my ECB publications
This website reflects only my opinion and not that of the ECB or the Eurosystem.