Federico Lubello | Macroeconomics and climate change | Best Researcher Award

Mr. Federico Lubello | Macroeconomics and climate change | Best Researcher Award

Mr. Federico Lubello at Banque centrale du Luxembourg, Luxembourg

👨‍🎓Professional Profiles

🌍 Summary

Federico Lubello is a Senior Economist at the Banque Centrale du Luxembourg and an expert in macroeconomics and financial stability, focusing on climate change and sustainability risks. He is actively involved in global initiatives, including the Network for Greening the Financial System (NGFS) and the European Central Bank’s climate risk monitoring projects. His research explores the intersection of macroprudential policy, climate transition, and financial stability.

🎓 Education

Federico holds a Ph.D. in Economics from the Catholic University of Milan (2015). He earned an M.Sc. in Economics and Finance from Barcelona GSE (Universitat Pompeu Fabra) in 2012, and an M.Sc. in Finance from UniversitĂ  Politecnica delle Marche in 2010. He also completed his B.Sc. in Economics and Finance at UniversitĂ  Politecnica delle Marche in 2006.

đź’Ľ Professional Experience

Currently, Federico serves as a Senior Economist at the Banque Centrale du Luxembourg (2016–present). He is a member of the NGFS Macrofinancial Workstream (2018–present) and was part of the ECB Project Team on Climate Risk Monitoring (2019–2020). Federico’s early career included roles as a PhD Intern in Financial Stability at the Bank of England (2015), and as a Research Fellow at the University of Copenhagen (2014–2015) and Kiel Institute for the World Economy (2013–2014).

đź’» Technical Skills

Federico is proficient in several technical tools, including MatLab, Dynare, Eviews, Gretl, and LaTeX. He is also experienced with RealTick Trading Platform, Microsoft Office, and both Linux and Macintosh operating systems.

🔬 Research Interests

Federico’s research focuses on the impacts of climate change on financial stability, the role of macroprudential policy, DSGE models for financial regulation, and the evolving role of central banks in climate risk monitoring.

👨‍🏫 Teaching Experience

Federico has taught and presented at various academic and research seminars, including a PhD Seminar at the Catholic University of Milan (2015), a Research Seminar at the Bank of England (2015), and the Summer School in Applied Macroeconometrics at the University of Salento (2012).

 

đź“–Top Noted Publications

From Brown to Green: Climate Transition and Macroprudential Policy Coordination

Authors: Federico Lubello

Journal: Journal of Risk and Financial Management

Year: 2024

Securitization, Shadow Banking System and Macroprudential Regulation: A DSGE Approach

Authors: Federico Lubello, Abdelaziz Rouabah

Journal: Economic Modelling

Year: 2024

Bank Assets, Liquidity and Credit Cycles

Authors: Federico Lubello, Ilaria Petrella, Elvira Santoro

Journal: Journal of Economic Dynamics and Control

Year: 2019