Associate Professor of Finance
Telfer School of Management
University of Ottawa
RESEARCH FOCUS
Macroeconomic risk and asset prices.
My research develops theoretical and empirical approaches to study how economic conditions, firm decisions, and financial innovation shape risk premia.
SELECTED PUBLICATION
Sovereign Risk Premia and Global Macroeconomic Conditions
Journal of Financial Economics, 2023, 147 (1), 172-197
We identify a global source of macroeconomic risk that prices sovereign credit risk across countries and over time.
Journal article ↗CURRENT POSITION
University of Ottawa
Associate Professor of Finance, 2025–present
Editorial Board Member, 2023 to now
Corporate Governance and Organizational Behavior Review
PREVIOUS APPOINTMENTS
Cambridge · Liverpool
Postdoctoral Research Associate, Cambridge Judge Business School
Assistant Professor of Finance, University of Liverpool
EDUCATION
HEC Montréal
PhD in Finance
Visiting scholar at Boston College and the Rotman School of Management