Ivan Bakalo
Ivan Bakalo is a researcher-practitioner specialising in financial stability, banking governance, systemic risk and institutional resilience. He has more than fifteen years of professional experience in central banking, banking supervision, regulatory oversight, internal audit and risk management, including senior responsibilities at the National Bank of Ukraine. His research interests include banking-system resilience, financial-security assessment, macroprudential regulation, stress testing, operational risk, enterprise risk management and governance frameworks.
Financial stability, systemic risk, banking supervision, macroprudential policy, stress testing, operational risk, enterprise risk management, governance
Advises the journal on financial stability, banking regulation, systemic risk, stress testing, institutional governance and practitioner-oriented financial-risk research.

