I am a senior economist and manager at the Bank of England, working in the Structural Economics Division of the Monetary Analysis Department. 

Previously, I worked in the Bank of England's Financial Stability Strategy and Risk Directorate on Stress Testing and in the International Directorate on Euro-Area macroeconomic surveillance. 

My research explores various aspects of supply side economics, including private capital development, risks and policies associated to natural disasters, and trade and supply-chain linkages. 

My research methods heavily rest on applied econometrics identifications exploiting natural disasters as sources of exogenous variation.

The views expressed here and in my research are my own and do not necessarily reflect those of the Bank of England