Welcome to my website. I am an economist and active in the area of knowledge exchange and research. My know-how is in the field of systemic risk management, regulation of banking and supervision and governance of financial institutions management.

My main focus is on the improvement of risk business process management in the financial service industry, with special attention to the development of public policies to banking.

On this website I present you my weekly blog: The Risk Management Monitor. In its weekly presentation I offer you my interpretation about the present credit crunch, the stability of financial systems, public crisis management and the supervisory review of banks.