Vitor Oliveira joined Universidade Autónoma de Lisboa in 2020 as an Assistant Professor. He is teaching experience at the undergraduate level. His current research interests include the financial system, in particular the banking system, studying its main risks (idiosyncratic and systemic risks), regulatory policies (micro- and macroprudential) and the links to the real economy. He has published articles in international journals, such as the International Journal of Central Banking e Studies in Economics and Finance
Vitor Oliveira has more than 15 years of professional experience which combines the work edeveloped in non-financial corporations as a controller and financial management and the current job as a Senior Economist in the Macroprudential Policy division in the Financial Stability Department at Banco de Portugal. Education includes a Master degree in Finance at Lisbon School of Economics and Management (ISEG-UL) and Ph.D. degree in management (specialized in finance) with distinction cum Laude.