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Giulio Cornelli

Giulio Cornelli

Economist
Monetary and Economic Department, Financial Markets

Before joining the BIS, Giulio Cornelli worked in the International Policy Analysis division at the ECB. Giulio holds a PhD in finance from the University of Zurich and an MSc and a BSc in economics from Bocconi University. He is a CFA® charter holder and a certified Financial Risk Manager.

Fields of interest
  • Financial markets

All BIS publications (35)

All external publications (17)

All podcasts (3)

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Podcast 11 Dec 2023
What might artificial intelligence mean for inequality?
Artificial intelligence is on everyone's minds these days. Many are predicting a period of upheaval ahead, while others believe…
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Podcast 13 Apr 2023
Crypto shocks and retail losses
How did the 2022 turmoil in the crypto market affect small, retail investors compared with large or insider investors? Was…
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00:12:00
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Podcast 10 Nov 2020
The Bank of Amsterdam and its lessons for the governance of money
Jon Frost and Giulio Cornelli tell the story of the Bank of Amsterdam, an 18th century deposit bank, and its lessons for the…
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