Lucyna Gornicka — CV
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Bibliographic details
- Authors: Lucyna Gornicka
Biography
Lucyna Górnicka is an economist in the Monetary and Capital Markets Department at the IMF. She works in the Monetary and Macroprudential Policies Division, where she contributes to a range of projects on financial stability, capital flows, and policy mix. Lucyna joined the IMF in 2015 (Economist Program), and worked also in the European Department, covering countries such as United Kingdom, Norway, and Finland. Her research interest center around macrofinancial linkages, financial regulation, monetary and macroprudential policies.
Profile
Education
- 2010-2015 PhD in Economics, University of Amsterdam and Tinbergen Institute, the Netherlands
- 2005-2010 MSc in Economics, Warsaw School of Economics, Poland
Referee Activities
- Journal of Financial Intermediation, Journal of Banking and Finance
Field of Expertise
- Economic Modeling
- Macro-Financial Issues
- Banking
- Monetary Policy
IMF Publications
IMF Books and Working Papers
- When Policy Bites: State-Dependent Monetary Policy Transmission in Emerging Markets, Working Paper No. 2026/096 , May 15, 2026
- Central Bank Digital Currency and Bank Disintermediation in a Portfolio Choice Model, Working Paper No. 2023/236 , November 17, 2023
- Biases in Survey Inflation Expectations: Evidence from the Euro Area, Working Paper No. 2022/205 , September 30, 2022
- Quarterly Projection Model for Vietnam: A Hybrid Approach for Monetary Policy Implementation, Working Paper No. 2022/125 , June 24, 2022
- Corporate Sector Resilience in India in the Wake of the COVID-19 Shock, Working Paper No. 2021/278 , November 19, 2021
- Leakages from Macroprudential Regulations: The Case of Household-Specific Tools and Corporate Credit, Working Paper No. 2021/113 , April 29, 2021
- Stress Testing and Calibration of Macroprudential Policy Tools, Working Paper No. 2020/165 , August 14, 2020
- Measuring Output Gap: Is It Worth Your Time?, Working Paper No. 2020/024 , February 7, 2020
- Capital Flows at Risk: Taming the Ebbs and Flows, Working Paper No. 2019/279 , December 20, 2019
- Optimal Macroprudential Policy and Asset Price Bubbles, Working Paper No. 2019/184 , August 30, 2019
- Brexit Referendum and Business Investment in the UK, Working Paper No. 2018/247 , November 21, 2018
- Measuring Concentration Risk - A Partial Portfolio Approach, Working Paper No. 2016/158 , August 2, 2016