Monia MAGNANI

Monia MAGNANI
Assistant Professor
Ph.D., Economy, Finance - Liverpool University School of Management
Filière : Finance
Formation
  • 2025 : Ph.D., Economy, Finance, Liverpool University School of Management, United Kingdom
  • 2018 : Master, Economy, Finance, Bocconi University, Italy
  • 2014 : Bachelor, Business Administration, Finance, Bocconi University, Italy
Expériences Professionnelles
Expérience académique :
  • 2024 - 2025, Researcher, Bocconi University, Milan, Italy
  • 2023 - 2023, Visiting professor, De Nederlandsche Bank, Amsterdam, Netherlands
Expérience en entreprise :
  • 2019 - 2020, Credit Risk Analytics (ICAAP) and Stress Testing Associate, UniCredit S.p.A., Milan, Italy
  • 2017 - 2019, Debt Pricing and Analysis Analyst, Intesa Sanpaolo S.p.A., Milan, Italy
  • 2017 - 2016, Internal Models Market Risk and Counterparty Analyst, Intesa Sanpaolo S.p.A., Milan, Italy
Articles publiés dans des revues à comité de lecture
  • Magnani M., (2024). Strong vs. stable: the impact of ESG ratings momentum and their volatility on the cost of equity capital, Journal of Asset Management, 25 (7) 666-699.
  • Magnani M., (2023). New ESG rating drivers in the cross-section of European stock returns, Journal of Financial Research, 46 (2023) 133-162.
Domaines de Recherche
  • Finance
  • Quantitative Methods
Enseignement
Grande Ecole (Master cycle) :
  • Stress testing in the banking industry 2347
  • Long term financing and debt securities 3674
MSc in Finance :
  • Active portfolio management: investment simulation 0296