Google site: https://sites.google.com/view/pabloaguilarperez/home
My primary areas of interest are International Macroeconomics, Banking and Financial Regulation, Monetary Policy, and Systemic Risk.
Ph.D. in Economics (Sep 2022 - Present)
Université Paris Nanterre – EconomiX CNRS Lab, France
Supervised by Professor Cécile Couharde
Thesis: "Monetary Policy, Financial Stability, and Spillovers"
M.Sc. in International Economics (2018 - 2020)
Université Paris Nanterre, France
Specialized in International Economics, Macroeconomic Policies, and Outlook
Graduated with honors: 16/20
B.Sc. in Economics (2015 - 2018)
Grenoble Alpes University (UGA), France
Erasmus+ program at Saint Petersburg State University of Economics, Russia
Graduated with honors
Teaching Assistant (2022 - 2024)
Université Paris Nanterre, France
Assisted Prof. Aurélien Saidi with Introduction to Econometrics (Graduate), Fall 2022, Spring 2023 and Fall 2024
Economic Attaché (Sep 2020 - Aug 2022)
Direction générale du Trésor – French Treasury Economic Service in Mexico, Mexico City, Mexico
Responsibilities included:
Risk Analyst Intern (Jan - Aug 2020)
BNP Paribas, Paris, France
Responsibilities included:
Monetary Policy and Inequality (2020)
Master's degree research document
A Regional Analysis of Public Debt in Mexico, Central America, and the Caribbeans (2021)
French Treasury research paper
Monetary Policy and Heterogeneity in Life Insurance Profitability (2022)
Submitted for EconomiX Working Paper
Examines the impact of monetary policy on the profitability of French life insurance companies during a low interest rate environment. Highlights the competitive advantage of bancassurance players and offers policy recommendations for regulators.
Global Impacts of US Monetary Policy: New Insights from the Remittance Channel (2023)
Work in Progress
Investigates the global impacts of unexpected changes in US monetary policy with a focus on the remittance channel. Uses data from 13 major remittance-sending countries and 41 recipient countries.
IMF Global Surveillance and Sovereign Risk in Emerging Markets (2024)
Work in Progress
27th International Conference on Macroeconomic Analysis and International Finance (ICMAIF) (May 2023)
University of Crete, Greece
Presented: "Monetary Policy and Heterogeneity in Life Insurance Profitability"
French Economic Association’s (AFSE) 71st Annual Congress (June 2023)
Sciences Po, Paris
Presented: "Monetary Policy and Heterogeneity in Life Insurance Profitability"
Banking Summer School (July 2023)
Barcelona School of Economics (BSE)
Topics: Banking Regulation and the Future of Money with Jean-Charles Rochet, Empirical Tools/Applications in Banking and Macro-Finance with José-Luis Peydró
French Economic Association’s (AFSE) 72nd Annual Congress (June 2024)
Bordeaux
Presenting: "Global Impacts of US Monetary Policy: New Insights from the Remittance Channel"
40th International Symposium on Money, Banking, and Finance (GDRE) (July 2024)
Orléans
Presenting: "Global Impacts of US Monetary Policy: New Insights from the Remittance Channel"