About
I am a first-year PhD student in Economics and Finance at Bocconi University, on the Finance curriculum. I hold a BSc in Economics and Finance (2022) and an MSc in Economic and Social Sciences (2025), both from Bocconi.
I worked for a year and a half at the European Central Bank on financial markets and financial stability, and then in the private sector as a macro strategist.
My research interests are financial economics, macro-finance, asset pricing and behavioural finance.
Research
Academic work
Working papers will be listed here. In the meantime, write to me if you would like to talk about ongoing projects.
Policy work
- Nov 2025 What safe haven after the April US tariff announcement? Implications for euro area financial stability
- May 2025 What does the record price of gold tell us about risk perceptions in financial markets?
- Nov 2024 Passive investing and its impact on return co-movement, market concentration and liquidity in euro area equity markets
CV
Positions
- 2026– PhD student in Economics and Finance
- 2025–26 Macro Credit Strategy
- 2025 Financial Stability Analyst
- 2024–25 Financial Stability Trainee
Education
- 2025 MSc in Economic and Social Sciences
- 2022 BSc in Economics and Finance