
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
- " SME Finance in Asia: recent innovations in fintech credit, trade finance, and beyond" (with V Davidson, J Frost, L Gambacorta and K Oishi), Asian Development Bank, ADBI Working Papers, October 2019.