Silvia Gabrieli is a senior economist at the Banque de France’s Financial Stability Directorate and her research focuses on the European interbank market, network analysis of financial markets, systemic risk, and financial contagion. Silvia’s work contributed to the development of Banque de France’s analytical framework for systemic risk monitoring and for macroprudential policy. She has a Ph.D. in Monetary and Financial Economics from the Tor Vergata University, Rome, Faculty of Business and Economics.