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I am a Financial Sector Expert in the Monetary and Capital Markets Department of the International Monetary Fund. At the IMF, I have been in charge of monitoring fragility in the commercial real estate sector, forecasting asset prices and macroeconomic output, and stress testing banks, mutual funds, and insurance companies.


On these topics, I have led multiple chapters of the IMF’s Global Financial Stability Report and completed country work in Hong Kong SAR and Japan.

Before the IMF, I worked at the ECB and the Deutsche Bundesbank. I completed my PhD in Economics from the joint program between the University of Siena, the University of Pisa, and the University of Florence.

Please see my CV for more details. Links to selected research and policy work can also be found here.



This is my private site and the views expressed do not necessarily reflect those of the International Monetary Fund.

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