Giulio Cornelli

Giulio Cornelli

Senior Financial Market Analyst
Monetary and Economic Department, Departmental Research Support

Before joining the BIS, Giulio Cornelli worked in the International Policy Analysis division at the ECB. Giulio holds a BSc and an MSc in economics and social sciences from Bocconi University. He is a CFA® charterholder and a certified Financial Risk Manager.

Fields of interest

  • Financial markets

9 items
October 2021

by Bruno Tissot, Giulio Cornelli, Leonardo Gambacorta and Sebastian Doerr

in JCER Working Paper AEPR series
October 2019

by Giulio Cornelli, Jon Frost, K Oishi, Leonardo Gambacorta and V Davidson

in ADBI Working Papers
Forthcoming
Do macroprudential policies affect non-bank financial intermediation?

by Francesco Manaresi, Giulio Cornelli, Leonardo Gambacorta, Shiina Yasushi and Stijn Claessens

in International Journal of Central Banking
Forthcoming
Rise of the central bank digital currencies

by Giulio Cornelli and Raphael Auer

in International Journal of Central Banking
March 2023

by Giulio Cornelli, Jon Frost, Leonardo Gambacorta, Raghavendra Rau, Robert Wardrop and Tania Ziegler

in Journal of Banking and Finance
Forthcoming
Regulatory sandboxes and fintech funding: evidence from the UK

by Giulio Cornelli, Leonardo Gambacorta, Ouarda Merrouche and Sebastian Doerr

in Review of Finance
March 2022
December 2021

by Bruno Tissot, Giulio Cornelli, Leonardo Gambacorta and Sebastian Doerr

in Asian Economic Policy Review
2021

by Giulio Cornelli, Jon Frost, Leonardo Gambacorta, Raghavendra Rau, Robert Wardrop and Tania Ziegler

in CESIFO Forum