CV

Please find full CV here

My research covers two highly interrelated areas. The first studies the time-series and cross-sectional behavior of stocks and bonds. The second investigates the importance of financial markets for real economic outcomes.

My dissertation investigates the effects of firm lobbying on risk and expected returns.

I hold a B.Sc. in Economics from LUISS (2011, 110/110 Lode), and a M.Sc. in Finance from Bocconi (2014, 110/110 Lode), and a Ph.D. in Finance from the Wharton School.