Anna Kovner is a Vice President and Policy Leader for Financial Stability. Her policy work focuses on stress testing and systemic risk. Her research focuses on topics in corporate finance, including banking and venture capital. Her articles have been published in the Journal of Finance, Journal of Financial Economics, and the Journal of Financial Intermediation, among other journals. Prior to graduate school, she worked as a financial analyst. She received an AB in Economics from Princeton, an MBA from Harvard Business School where she was a Baker Scholar, and her PhD in Business Economics from Harvard University.
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Shaped by the 2008 financial crisis, a new generation of economists is expanding the boundaries of economic thinking on credit cycles, private debt, and financial stability.