Welcome aboard!

I am an empirical macroeconomist with several years of experience in central banking (BCL, ECB, NBS, MNB) and commercial banking (CaixaBank, KPMG, BBVA). I finished my Econ PhD at Milano-Bicocca University in 2022, after working as a PhD trainee at the ECB. Currently, I am working as an Economist at the Banque Centrale du Luxembourg.

My research interests so far have focused on empirical macro, primarily on macro-financial risk assessment, housing market, forecasting, monetary policy and uncertainty. My research has been published in the Journal of Financial Stability, Journal of Forecasting, Empirical Economics, Eastern European Economics, ECB WPS, RCEA WPS, SUERF PB, among others.

Check out my research and my CV.

Contact:

carlos.canizares@barcelonagse.eu

linkedin.com/in/carloscanizares