Nejc joined the EconLab team in 2024. At EconLab, his work spans credit risk modelling, macroeconomic analysis, and the development of stress testing frameworks. Nejc brings a strong background in macroeconomics, finance, and data analysis. Currently, he is a master’s student, specializing in Money and Finance at Ljubljana University. Prior to EconLab, he worked at the Statistical Office of the Republic of Slovenia, where he focused on data analytics and statistical modelling. He also collaborated with the Institute of Macroeconomic Analysis and Development (UMAR) on a macroeconomic research project, gaining valuable insights into policy-oriented economic analysis. Nejc holds a bachelor’s degree in Money and Finance from SEBLU.
Preparation of in-depth analyses of economic trends and the development of short- and medium-term forecasts using economic models and statistical techniques.
Credit Risk Modeling
Development and implementation of quantitative models for assessing creditworthiness and probability of default at the individual or portfolio level.