
معرفی
Fabio Franceschini is a Research Fellow in Sustainable Finance at the University of Bologna (Department of Economics) since April 2023. He holds a Ph.D. in Economics (2024) from the University of Bologna, with visiting research periods at London Business School, Bocconi University, Vienna Graduate School of Finance, and Copenhagen Business School. His research focuses on empirical analysis of financial markets, emphasizing economic growth, environmental factors, and liquidity dynamics using statistical tools like cointegration models and dimension-reduction techniques.
Education:
- Ph.D. in Economics, University of Bologna (2024)
- M.Sc. in Advanced Economics and Finance, Copenhagen Business School (2018)
- B.Sc. in Business Administration, University of Bologna (2016)
- H.S.D. in Mechanical Engineering, Aldini Valeriani Institute (2013)
Research Interests: Fabio’s work examines how financial markets respond to macroeconomic phenomena such as innovation-driven growth, climate uncertainty, and sustainability concerns. He explores the interplay between R&D investment, productivity, and asset pricing, while also addressing anomalies in traditional asset pricing models like CAPM. His recent studies highlight the role of ESG factors in discount rate dynamics and portfolio risk hedging.
Teaching & Experience:
- Teaching Assistant for courses in finance and macroeconomics at the University of Bologna (2019–2024)
- Research Assistant at Copenhagen Economics A/S (2017)
- Organizer of the DSE Reading Group in Macro-Finance (2019–2021)
Lab & Teams: His research is affiliated with the Department of Economics at the University of Bologna, collaborating with scholars like Prof. Martin Gonzalez-Eiras and Prof. Giuseppe Cavaliere.




