Short CV/Education and training

  • Since 2017
    Coordinator of a junior research group on "European Capital Markets and Macroeconomic Stability", German Institute for Economic Research (DIW Berlin)

  • Since 2013
    Research Associate at the Department of Macroeconomics, DIW Berlin

  • 2011 – 2012
    Research and Teaching Assistant at the Chair of International Macroeconomics and Finance, Prof. Dr. Claudia M. Buch, University of Tuebingen

  • 2009 – 2013
    Research Assistant at the Departments of Macroeconomics and Forecasting, DIW Berlin

  • 2008
    Diplom-Volkswirtin, University of Tuebingen

  • 2006
    M.Sc. in Economics, Université du Québec à Montréal (UQAM)

Selected publications

  • Interactions between Regulatory and Corporate Taxes: How Is Bank Leverage Affected?, with Kirsten Schmidt and Lena Tonzer, Journal of Banking and Finance, Vol. 118, 2020.

  • Drivers of Countries’ External Debt-Equity Mix: A Sectoral Analysis, with Tatsiana Kliatskova, Journal of International Money and Finance, Vol 107(C), 2020.

  • Capital Markets Union and Cross-Country Risk Sharing, with Claudia Buch, in: Franklin Allen et al. (eds), Capital Markets Union and Beyond, MIT Press, 2019.

  • Big Banks and Macroeconomic Outcomes: Theory and Cross-Country Evidence of Granularity, with Claudia M. Buch, Katheryn N. Russ, and Monika Schnitzer, Journal of Money, Credit and Banking, Vol. 50, pp. 1785-1825, 2018.

  • Reduced cross-border lending and financing costs of SMEs, with Katja Neugebauer, Journal of International Money and Finance, Vol. 80, pp. 35-58, 2018.

  • Drivers of structural change in cross-border banking since the global financial crisis, with Marcel Fratzscher, Journal of International Money and Finance, Vol. 52, pp. 32-59, 2015.



Complete list of publications

Selected projects

  • Distributional effects of macroeconomic policies in Europe, Leibniz Competition 2021, Leibniz Association

  • European capital markets and macroeconomic stability: The role of equity and debt, Leibniz Competition 2017, Leibniz Association

  • Bank-specific Risk and Macroeconomic Performance, Deutsche Forschungsgemeinschaft (DFG), Priority Program 1578 “Financial Market Imperfections and Macroeconomic Performance”

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