Anil Ari
Last Updated: June 27, 2023
Anil Ari is an economist in the European Department of the IMF. Previously, he worked in the Macro-Financial division of the Research Department. He holds a Ph.D. in Economics from the University of Cambridge. His research interests are in Macroeconomics, International Finance, Monetary Economics and Banking.
Email: AARI@imf.org
Personal WebPage: https://sites.google.com/site/anlari/home
Fluent In: Turkish.
Education:
PhD in Economics, University of Cambridge, 2017
MPhil in Economics, University of Cambridge, 2012
BA in Economics, University of Cambridge, 2011
Awards and Honors:
Lamfalussy Research Fellowship, European Central Bank, 2016
Keynes Fund Research Grant, Cambridge University, 2016
Best Article in International Macro Award, RIEF Network, 2016
Klaus Liebscher Award, Oesterreichische Nationalbank, 2015
Junior Fellowship, Royal Economic Society, 2015
Money, Banking & Finance Best Paper Award, UniCredit & Universities, 2015
Field of Expertise:
Monetary Policy
Banking
Open Economy Macroeconomics
Macro-Financial Issues
International Finance
IMF Books and Working Papers:
Infrastructure in Central, Eastern, and Southeastern Europe : Benchmarking, Macroeconomic Impact, and Policy Issues , Departmental Paper No.20/11 , September 28, 2020
Foreign Demand and Local House Prices: Evidence from the US , Working Paper No. 20/43 , February 28, 2020
The Dynamics of Non-Performing Loans during Banking Crises: A New Database , Working Paper No. 19/272 , December 06, 2019
Designing Central Bank Digital Currencies , Working Paper No. 19/252 , November 18, 2019
Casting Light on Central Bank Digital Currencies , Staff Discussion Notes No. 18/08 , November 13, 2018
Debt Seniority and Sovereign Debt Crises , Working Paper No. 18/104 , May 09, 2018
Shadow Banking and Market Discipline on Traditional Banks , Working Paper No. 17/285 , December 22, 2017
Sovereign Risk and Bank Risk-Taking , Working Paper No. 17/280 , December 14, 2017
Anil Ari is an economist in the European Department of the IMF. Previously, he worked in the Macro-Financial division of the Research Department. He holds a Ph.D. in Economics from the University of Cambridge. His research interests are in Macroeconomics, International Finance, Monetary Economics and Banking.
Email: AARI@imf.org
Personal WebPage: https://sites.google.com/site/anlari/home
Fluent In: Turkish.
Education:
PhD in Economics, University of Cambridge, 2017
MPhil in Economics, University of Cambridge, 2012
BA in Economics, University of Cambridge, 2011
Awards and Honors:
Lamfalussy Research Fellowship, European Central Bank, 2016
Keynes Fund Research Grant, Cambridge University, 2016
Best Article in International Macro Award, RIEF Network, 2016
Klaus Liebscher Award, Oesterreichische Nationalbank, 2015
Junior Fellowship, Royal Economic Society, 2015
Money, Banking & Finance Best Paper Award, UniCredit & Universities, 2015
Field of Expertise:
Monetary Policy
Banking
Open Economy Macroeconomics
Macro-Financial Issues
International Finance
IMF Books and Working Papers:
Infrastructure in Central, Eastern, and Southeastern Europe : Benchmarking, Macroeconomic Impact, and Policy Issues , Departmental Paper No.20/11 , September 28, 2020
Foreign Demand and Local House Prices: Evidence from the US , Working Paper No. 20/43 , February 28, 2020
The Dynamics of Non-Performing Loans during Banking Crises: A New Database , Working Paper No. 19/272 , December 06, 2019
Designing Central Bank Digital Currencies , Working Paper No. 19/252 , November 18, 2019
Casting Light on Central Bank Digital Currencies , Staff Discussion Notes No. 18/08 , November 13, 2018
Debt Seniority and Sovereign Debt Crises , Working Paper No. 18/104 , May 09, 2018
Shadow Banking and Market Discipline on Traditional Banks , Working Paper No. 17/285 , December 22, 2017
Sovereign Risk and Bank Risk-Taking , Working Paper No. 17/280 , December 14, 2017