Simone Manganelli is Head of the Financial Research Division at the European Central Bank, where he works since 2000. His main research area is financial econometrics, with a focus on risk management, forecasting and asset allocation. His policy interests span from European financial markets and financial stability to monetary policy implementation and transmission. His papers have appeared in international refereed journals, such as Journal of Business and Economic Statistics, Journal of Econometrics, Journal of the European Economic Association, Journal of Money Credit and Banking and Journal of Financial Econometrics. Mr. Manganelli holds a B.A. in Economics from Bocconi University and a Ph.D. in Economics from the University of California at San Diego.
VoxEU Column
A novel risk-management perspective for macroprudential policy
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- Monetary Policy
VoxEU Column
Banking on capital
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- Financial Regulation and Banking ![](../../../../../../../../../../var/folders/34/zq18d8kx7kbgby0j06p_j6t40000gn/T/TemporaryItems/NSIRD_screencaptureui_EM2XPo/Screenshot 2022-01-04 at 17.01.16.png)
- Global crisis ![](../../../../../../../../../../var/folders/34/zq18d8kx7kbgby0j06p_j6t40000gn/T/TemporaryItems/NSIRD_screencaptureui_EM2XPo/Screenshot 2022-01-04 at 17.01.16.png)
- Macroeconomic policy