Statistics
I obtained bachelor’s degree in Statistics and a master’s degree in Quantitative Finance at the University of Bologna, driven by a strong interest in learning tools for data analysis and modeling of economic phenomena. For my masters thesis I worked on the concept of systemic risk and contagion among financial institutions. My interest in modeling systemic risk was stimulated during my internship at the European Systemic Risk Board.
Computational models for assessing the resilience of financial and macroeconomic system to shocks related to climate, focus on regulation and policy