Welcome to my website!
Welcome to my website!
I am a financial economist and manager in the Quantitative Supervision and Research group at the Federal Reserve Bank of Richmond. Since I started working for the Richmond Fed I have been heavily involved in Operational Risk as modeler, examiner, and advisor for policymakers. I led the Operational Risk Supervisory Modeling Team for several years before joining the Stress Testing Modeling Advisory Group. Currently, my work centers on quantifying the impact of cyber risk at financial institutions as well as supporting the Large Financial Institutions ratings system. My research has been published in top academic and industry journals.
I am a financial economist and manager in the Quantitative Supervision and Research group at the Federal Reserve Bank of Richmond. Since I started working for the Richmond Fed I have been heavily involved in Operational Risk as modeler, examiner, and advisor for policymakers. I led the Operational Risk Supervisory Modeling Team for several years before joining the Stress Testing Modeling Advisory Group. Currently, my work centers on quantifying the impact of cyber risk at financial institutions as well as supporting the Large Financial Institutions ratings system. My research has been published in top academic and industry journals.
I earned my bachelor’s degree in Finance from Bocconi University, my master’s degree in Actuarial Science from the University of Turin, and my doctoral degree in Finance from the University of Arizona. Prior to joining the University of Arizona I worked for Toro Assicurazioni (now Assicurazioni Generali).
I earned my bachelor’s degree in Finance from Bocconi University, my master’s degree in Actuarial Science from the University of Turin, and my doctoral degree in Finance from the University of Arizona. Prior to joining the University of Arizona I worked for Toro Assicurazioni (now Assicurazioni Generali).