Iren Levina

Economist, Bank of England

Iren Levina is an Economist in the Macro-financial risks division at the Bank of England. She has worked on finance for productive investment, financial cycle, current account deficit and wholesale deposits. Iren holds a PhD in Economics from the University of Massachusetts at Amherst. Her research interests include financial cycle and macro-financial imbalances, finance and growth, theories of banking, and history of economic thought.

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