My research deals with the theoretical and empirical analysis of the interactions between climate, economic, monetary, and financial policies.
Theoretically, I leverage macro-financial models as laboratories to study (i) the effects of climate policies on the macroeconomy and the financial system and (ii) the effects of economic policies on the climate.
Empirically, I try to build new measures of climate risk exposures, exploiting textual and/or geo-referenced datasets and use assess the effects of public policies on climate risks.