Deep Policy Expertise

Our analytical work spans the full spectrum of macroeconomic and financial-sector policy, with a focus on the issues shaping today's global economic landscape.

01

Digital Finance & Fintech

Regulatory frameworks for digital assets, CBDC design and implementation, crypto-asset policy, and the macro-financial implications of digital transformation in the financial sector.

02

Financial Stability

Systemic risk assessment, macroprudential policy design, contagion analysis, and financial sector stress testing in both advanced and emerging market contexts.

03

Sovereign Debt Dynamics

Debt sustainability analysis, restructuring frameworks, creditor coordination mechanisms, and the macro-fiscal implications of sovereign borrowing in volatile environments.

04

Monetary & Exchange Rate Policy

Monetary policy frameworks, inflation targeting, reserve management strategies, foreign exchange operations, and the transmission of monetary policy in open economies.

05

Banking Supervision & Regulation

Risk-based supervisory frameworks, bank resolution and crisis management, Basel standards implementation, and the governance of systemic financial institutions.

06

Payment Systems

National payment infrastructure modernization, cross-border payment efficiency, settlement systems design, and the role of payment systems in financial inclusion.

07

Climate & Generative AI Risks

Macro-financial risks from climate transition and physical shocks, and the policy implications of artificial intelligence for financial regulation, monetary policy, and economic forecasting.

08

Global Spillovers & Trade Policy

Cross-border transmission of U.S. monetary and fiscal policy shocks, trade finance, capital flow dynamics, and geopolitical risk assessment in macro-financial analysis.

09

Emerging Market Economies

Macroeconomic governance, institutional capacity building in central banks and regulators, and financial-sector resilience frameworks in developing and frontier economies.

Breadth and Depth Across Both Macro and Finance

The firm's distinctive strength lies in the integration of deep macroeconomic expertise with granular financial-sector knowledge — a combination rarely found in a single advisory practice. This enables cross-domain analysis that is essential to solving today's most complex policy challenges.

Macroeconomics
Monetary policy · Trade · Debt · Reserve management · Debt restructuring
Financial Sector
Bank resolution · Risk-based supervision · Payment systems · Digital finance · Crisis resolution