Senior Research Economist
Fields of interest: Macroeconomics, Finance, Computational Economics
Senior Research Economist, Danmarks Nationalbank, 2021 -
Research Economist, Danmarks Nationalbank, 2017 - 2021
Trainee, Directorate General Research, European Central Bank, 2015-2016
Ph.D., Economics, University of Mannheim, 2017
M.Sc., Economics, University of Mannheim, 2013
B.Sc., Economics, Ludwig-Maximilians-University Munich, 2011
'Aggregate risk in the term structure of corporate credit', with Ram Yamarthy
'Corporate Debt Maturity and Investment over the Business Cycle,' European Economic Review, R&R (2020)
'The Macroeconomic Effects of Shadow Banking Panics' (2020)
'Banking Panic Risk and Macroeconomic Uncertainty', with Jakob Guldbæk Mikkelsen, Danmarks Nationalbank Working Papers, No. 149, (2020). R&R at the Journal of Money, Credit and Banking.
'Mortgage Defaults, Bank Runs and Regulation in a Housing Economy', with Marcus Mølbak Ingholt and Xue Zhang, (2019)
'Bank Capital Regulation and Endogenous Shadow Banking Crises', with Xue Zhang, (2018)
Work in Progress
'The Consumption Effects of Household Financial Distress', with Florian Exler
'Flood risk discounts in the Danish housing market', with Giorgio Mirone, Danmarks Nationalbank Economic Memo, No. 7 (2021).
'How do non-pharmaceutical
interventions affect the
spread of COVID-19?
A literature review,' with Rasmus Bisgaard Larsen, Danmarks Nationalbank Economic Memo, No. 4 (2021).
'The Effects of the Corona Shock on the Banking Sector and the Real Economy', Danmarks Nationalbank Economic Memo, No. 10, (2020)
'News and Noise-driven Intermediary Credit Booms', with E. Gerba
'A Bulwark of Confidence: The Effect of the Banking Union on Financial Fragility'