Marzio Bassanin is an Economist at Bank of England. He previously worked as Financial Stability Expert at European Central Bank.
Marzio obtained a Ph.D. in Economics from LUISS University in 2019. During the PhD he visited the Einaudi Institute of Economic and Finance and the Goethe University of Frankfurt. His main areas of research are macroeconomics, financial crises and macroprudential policy.

VoxEU Column
Attitude matters: Investor ambiguity, leverage cycles, and asset prices
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- Financial Markets