Tsvetomira Tsenova

Researcher in Economics & Finance, Consultant in Banking Regulation, Economics & International Accounting Standards

Former Central Banker: Adviser to Bulgarian National Bank Deputy Governor, Senior Economist at European Central Bank

Doctor of Philosophy (Ph.D.) in Economics, University of York, United Kingdom

Home Curriculum Vitae Publications
Dr. Tsenova at European University Institute in Venice

Refereed Academic Publications

Are Long-Term Inflation Expectations Well-Anchored. Evidence from the Euro Area and the United States

Bulletin of Economic Research, Vol. 67, Issue 1, pp. 65–82, January 2015. Link to Article

International Monetary Transmission with Bank Heterogeneity and Default Risk

Annals of Finance, Vol. 10, Issue 2, pp. 217-241, May 2014. Link to Article

Tax Policy, Investment Decisions and Economic Growth

Revue de l’OFCE, 2015, 141, pp. 225–262, 2015. Co-authored with M. Bonucchi, M. Ferrari and S. Tomasini. Link to Article

Engine for European Growth and Stability

Revue de l’OFCE, 132, pp. 101-109, 2014. Co-authored with Paolo Onofri. Link to Article

Equation Discovery for Macroeconomic Modeling

Proceedings of the International Conference on Agents and Artificial Intelligence, INSTICC Press 2009. Co-authored with Dimitar Kazakov. Link to Article

Growth and Corporate Governance in Transition Economies: An Adaptation of the Ramsey Model

International Journal of Business Governance and Ethics, 2006, Vol. 2, No.1/2, pp. 64 - 83. Co-authored with Giovanni d’Orio. Link to Article

Determinants of European Union Enterprises Relocation in Bulgaria

Economic Thought, Vol. XVII, 2002. Co-authored with V. Mintchev, V. Goev and V. Boshnakov. Link to Article

Price and Trade Policy in the Grain Sector in Bulgaria and Food Security

Bulgarian Journal of Agricultural Science, Vol. 1, 1995, pp. 363-370. Co-authored with Pl. Mishev and N. Ivanova. Link to Journal

Working Papers & Conference Proceedings

Monetary Policy, Heterogeneous Expectations and Structural Uncertainty

SSRN Working Paper (April 4, 2017)

Banks Paying for Banks: A Dynamic General Equilibrium Perspective

SSRN Working Paper (February 9, 2015)

International Monetary Transmission with Bank Heterogeneity and Default Risk

SSRN Working Paper (March 1, 2013)

FIW Working Paper series 110, FIW (March 1, 2013)

SSRN Working Paper (July 8, 2011)

Economic Growth and Corporate Governance Imperfections

SSRN Working Paper (January 1, 2000)

Books and Book Chapters

The Importance of Being Prudent: Capital Adequacy, Financial Stability and the Macroeconomy

"Economic World" research library, Tsenov Academic Press, 2016. Summary available at SSRN Link to e-book shop

Central and Eastern Europe: Looking for the Next Best Goal?

Prometeia – Rapporto di Previsione, Gennaio, 2014, pp. 123–133. Available at SSRN

A Deflationary Drift in Euro Area's Inflation Expectations?

Prometeia – Rapporto di Previsione, Ottobre, 2014, pp. 119–125. Available at SSRN

About Me

Senior Economics Adviser at Experian

Independent Researcher in Economics & Finance

Official Personal Site

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