
Associate Professor
Department of Finance
Courses a.y. 2024/2025
Biographical note
Filippo De Marco (Ph.D. Boston College, 2015) is an Associate Professor of Finance at Bocconi University. His research interests lie primarily in the field of empirical banking and monetary economics. He has published numerous articles in leading academic journals and has worked as a consultant for the European Commission and the European Parliament. Over the years, he has organized several conferences on Banking and Financial Stability, jointly with Baffi-Bocconi, CEPR and the Bank of Italy.
Working papers
Fabrizio Core, Filippo De Marco, Tim Eisert, Glenn Schepens
Inflation and floating-rate loans: Evidence from the euro-area
Inflation and floating-rate loans: Evidence from the euro-area
Elena Carletti, Filippo De Marco, Vasso Ioannidou, Enrico Sette
Corporate Runs and Credit Reallocation
Corporate Runs and Credit Reallocation
De Marco, Filippo; Limodio, Nicola
The Financial Transmission of a Climate Shock: El NiƱo and US Banks
The Financial Transmission of a Climate Shock: El NiƱo and US Banks
Selected Publications
Tania Babina; Saleem Bahaj; Greg Buchak; Filippo De Marco; Angus Foulis; Will Gornall; Francesco Mazzola; Tong Yu
Customer Data Access and Fintech Entry: Early Evidence from Open Banking
JOURNAL OF FINANCIAL ECONOMICS, Forthcoming
Customer Data Access and Fintech Entry: Early Evidence from Open Banking
JOURNAL OF FINANCIAL ECONOMICS, Forthcoming
De Marco, Filippo; Petriconi, Silvio
Bank competition and information production
JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS, Forthcoming
Bank competition and information production
JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS, Forthcoming
Core, Fabrizio; De Marco, Filippo
Information technology and credit: evidence from public guarantees
MANAGEMENT SCIENCE, 2024
Information technology and credit: evidence from public guarantees
MANAGEMENT SCIENCE, 2024
Filippo De Marco; Macchiavelli, Marco; Valchev, Rosen
Beyond home bias: international portfolio holdings and information heterogeneity
Review of Financial Studies, 2022
Beyond home bias: international portfolio holdings and information heterogeneity
Review of Financial Studies, 2022
De Marco, Filippo; Kneer, Christiane; Wieladek, Tomasz
The real effects of capital requirements and monetary policy: evidence from the United Kingdom
Journal of Banking & Finance, 2021
The real effects of capital requirements and monetary policy: evidence from the United Kingdom
Journal of Banking & Finance, 2021
Carletti, Elena; De Marco, Filippo; Ioannidou, Vasso; Sette, Enrico
Banks as patient lenders: evidence from a tax reform
Journal of Financial Economics, 2021
Banks as patient lenders: evidence from a tax reform
Journal of Financial Economics, 2021
De Marco, Filippo
Bank lending and the European sovereign debt crisis
Journal of Financial and Quantitative Analysis, 2019
Bank lending and the European sovereign debt crisis
Journal of Financial and Quantitative Analysis, 2019
Nicola Limodio; Filippo De Marco; Ilaria Dal Barco
A Dabase for the Article: The El Nino Southern Oscillation and the salinity of land and water in the United States
2024
A Dabase for the Article: The El Nino Southern Oscillation and the salinity of land and water in the United States
2024