
Giulio Cornelli
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
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 |
by Bruno Tissot, Giulio Cornelli, Leonardo Gambacorta and Sebastian Doerr in SUERF Policy Brief
|
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
|