CURATOLA GIULIANO ANTONIO

Presentation

I am an associate professor of Economics at the University of Siena, Department of Economics and Statistics and External Research Affiliate at the Leibiniz Institute for Finncial Research SAFE. At the University of Siean I teach Monetary economics (Msc in Finance). I  have also taught Economia Internazionale (Bsc in Scienze Economiche e Bancarie) and  Macroeconomics (Msc in Economics). Previously I held the position of Assistant professor at the  Goethe University Frankfurt and received the  PhD in Finance from the Swiss Finance Institute and Ecole Polytechnique Fédérale de Lausanne. Main research interests:  Equilibrium asset pricing, portfolio theory, behavioral finance, CEO compensation and risk-taking.

Office hours

Office hours: Friday 15:00-17:00 (send an email to reserve your slot).

Updated Info: personal home page

Virtual room: https://meet.google.com/fbc-hiwt-hbg 

Curriculum Vitae

Notices

Office hours: Friday, 14:00-18:00 (send an email for a different arrangement).

Virtual room: https://meet.google.com/wbm-sijo-utj

Teaching activities

Completion accademic year: 2024/2025

Course year: 3 First cycle degree (DM 270) ECONOMICS AND BANKING A.Y. 2022/2023
Course year: 2 Second cycle degree (Laurea Magistrale) FINANCE A.Y. 2023/2024

Completion accademic year: 2023/2024

Course year: 3 First cycle degree (DM 270) ECONOMICS AND BANKING A.Y. 2021/2022
Course year: 2 Second cycle degree (Laurea Magistrale) FINANCE A.Y. 2022/2023

Completion accademic year: 2022/2023

Course year: 3 First cycle degree (DM 270) ECONOMICS AND BANKING A.Y. 2020/2021
Course year: 2 Second cycle degree (Laurea Magistrale) FINANCE A.Y. 2021/2022

Completion accademic year: 2021/2022

Course year: 3 First cycle degree (DM 270) ECONOMICS AND BANKING A.Y. 2019/2020
Course year: 2 Second cycle degree (Laurea Magistrale) FINANCE A.Y. 2020/2021

Completion accademic year: 2020/2021

Course year: 3 First cycle degree (DM 270) ECONOMICS AND BANKING A.Y. 2018/2019
Course year: 2 Second cycle degree (Laurea Magistrale) FINANCE A.Y. 2019/2020

Research

Ultime pubblicazioni:

  • Curatola, G.A. (2024). Asset prices when large investors interact strategically. QUANTITATIVE FINANCE [10.1080/14697688.2024.2387821]. - view more
  • Curatola, G., Dergunov, I. (2023). International capital markets with interdependent preferences: Theory and empirical evidence. JOURNAL OF ECONOMIC BEHAVIOR & ORGANIZATION, 212, 403-421 [10.1016/j.jebo.2023.05.045]. - view more
  • Basili, M., Chateauneuf, A., Curatola, G., Scianna, G. (2023). A representation of Keynes’s long-term expectation in financial markets. INTERNATIONAL JOURNAL OF THEORETICAL AND APPLIED FINANCE, 26(6-7), 1-20 [10.1142/S0219024923500255]. - view more
  • Curatola, G., Donadelli, M., Grüning, P. (2022). Technology trade with asymmetric tax regimes and heterogeneous labour markets: Implications for macro quantities and asset prices. INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 27(4), 3805-3831 [10.1002/ijfe.2188]. - view more
  • Curatola, G., Faia, E. (2021). Divergent risk-attitudes and endogenous collateral constraints. JOURNAL OF ECONOMIC THEORY, 192 [10.1016/j.jet.2020.105175]. - view more