Andrej Sokol

Economist - Global Analysis​ ​Division ​


Andrej is currently working as a research economist on the Research and Strategy Team in the International Directorate. Previously, he worked on the UK Forecast Team in Monetary Analysis. Andrej's research interests include empirical macroeconomics (with a focus on open-economy questions and identification problems in VAR models), forecasting and economic modelling. Andrej is also involved in model building for scenario analysis, nowcasting and forecasting within the International Directorate. Andrej holds an MSc in Economics from Queen Mary University of London and both an MSc and BSc in Management engineering from Politecnico di Milano.

Andrej's Bank Underground blog posts

Look abroad! Global financial conditions and risks to domestic growth - January 2019

Andrej's selected academic publications

A procedure for combining zero and sign restrictions in a VAR-identification scheme - with A Haberis, Centre for Macroeconomics (CFM) (2014)  
Estimating Central Bank Preferences: The Case of the Bank of England over 1981-2007 - Annali della Fondazione Luigi Einaudi XLV (2011) 

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