
Martin Tobal
Georgetown Americas Institute
Martin Tobal serves as the director of the macrofinancial risk analysis directorate at Banco de Mexico. In this role, he is responsible for preparing analytical material for the monetary policy committee meetings and for the financial stability report of the central bank. Previously Tobal worked as the manager of the unit of real sector research analysis at Banco de Mexico; as a senior economist in the unit of international affairs; and as the deputy manager of the macroeconomics research department at the Center for Latin American Studies. He holds a Ph.D. in economics from the University of California, San Diego (UCSD), an M.A. and a B.A., both with honors, from the University of Valencia (Spain), and a BA with honors from the University of Nantes (France).
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