👦 I am an Economist
at the Bank of Spain since May 2025. I work at the Department of Financial Stability and Macroprudential Policy. I am also a PhD Candidate in Economics
at Universitat de Barcelona (UB) & Institut d'Economia de Barcelona (IEB) since September 2021. I expect to obtain my PhD degree by Summer 2026. I obtained my MSc in Economics from University of Mannheim in 2019 and my Bachelor's degree in Economics from Universidad Autónoma de Madrid in 2016.
🏢 I also worked at: Institute for Fiscal Studies (IFS) (TaxDev) ·
AIReF (Public Policy Evaluation Division) ·
CUNEF (Department of Economics) ·
Bank of Spain (DG Economics, Statistics and Research) ·
NERA Economic Consulting (Energy Division).
❓ How do households and firms respond to government policies (taxes, regulations and public-spending policies)? I address this research question both from empirical and theoretical perspective. Hence, I work with micro-data & causal inference methods, but also with large-scale general equilibrium macro models.
🔍 My research interests are:
📈 Research Fields | 🛠️ Technical Interests |
---|---|
Public Finance Taxation Inequality Real Estate |
Causal Inference Micro-Simulation Linked Admin Micro-Data Survey Micro-Data |
👨💻 I feel comfortable with the following coding languages and/or environments:
Stata
Matlab
Python
Rstats
Julia
Fortran
LaTeX
Github
Git
HTML
CSS
Euromod
💻 My public repositories are mainly written in the following languages: