Andrea BeltrattiView profile
Professor
Andrea Beltratti is a Full Professor at Bocconi University, specializing in financial economics and asset pricing. He holds a Ph.D. in Economics from Yale University (1989) and a B.A. in Economics from the University of Turin (1982). His research focuses on stock and bond volatility, mortgage markets, environmental economics, and financial crises. Notably, his work on asset price dynamics was mentioned during the 2013 Nobel Prize Ceremony. He teaches courses on equity portfolio management, financial investments, and real estate valuation. Education: Ph.D., Yale University; B.A., University of Turin Key Research Areas: Financial markets, banking systems, sustainable development, and macroeconomic policy Beltratti’s publications span journals like the Journal of Banking and Finance, Journal of Financial Economics, and Oxford Economic Papers. His award-winning contributions include analyses of global credit crises and asymmetric contagion effects in European sovereign debt markets. He actively contributes to academic discussions through teaching and research on fintech, infrastructure finance, and alternative investments.









