Francesco Febbraro

Francesco Febbraro

PhD Candidate in Economics, University of Groningen

I am a third-year PhD candidate in Economics at the University of Groningen. My research studies how banks and nonbank financial intermediaries transmit macro-financial shocks and reallocate credit across firms, combining granular supervisory data with high-frequency identification or network econometric techniques.

I will join the Bank of England Research Hub as a PhD research intern in summer 2026, working on a project involving global bond funds. I previously spent six months in the Financial Stability department of the Deutsche Bundesbank, and I am a member of the ESCB ChaMP research network.

Research focus

Nonbank financial intermediation. How insurers, funds, and other nonbanks lend, and how their balance sheets and regulation make them behave differently from banks.
Monetary policy transmission. How policy and term-structure surprises pass through bank and nonbank credit supply to reach firms.
Macro-financial shocks and financial stability. How geopolitical and financial shocks propagate through the credit system, and what they imply for stability.

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Contact

Email
f.febbraro@rug.nl
Affiliation
Faculty of Economics and Business
University of Groningen, Netherlands
Links
CV · LinkedIn · University profile