I am an Assistant Professor of Finance at the University of St.Gallen, Switzerland. I joined the Swiss Institute of Banking and Finance in August 2012 and teach courses on systemic risk, financial institutions management, and financial econometrics. Prior to joining the University of St.Gallen, I worked as Risk Modeling & Analytics Specialist within Firm-wide Risk Control and Methodology at UBS AG. I hold a Ph.D. in Banking and Finance from the University of Zurich and a M.Sc. in Econometrics and Operations Research from Maastricht University. My research focuses on money markets, international finance, asset pricing, and financial econometrics. I have published papers in The Journal of Finance as well as The Review of Financial Studies.


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