PhD, Saïd Business School (Oxford University)

Filippo Ippolito is a Ramón y Cajal Researcher at UPF and affiliated professor of the Barcelona GSE. He is Director of the Barcelona GSE Master Program in Finance. He is also Research Affiliate of CEPR.

Professor Ippolito's current work focuses on corporate debt and private equity. In 2014, a research team led by Prof. Ippolito was awarded the UCEIF Foundation Prize for their project, "Asset-liability correlated fragility in banks."

Prior to joining UPF, Prof. Ippolito held positions at Università Commerciale L.Bocconi and Merton College, Oxford. He has also been Editorial Assistant at Oxford Analytica, Ltd. and Internal Auditor at Banca Monte dei Paschi (Siena).

Awards, Grants, and Honors

2014: UCEIF Foundation Prize for the project, "Asset-liability correlated fragility in banks"

Barcelona GSE Working Papers

Filippo Ippolito, José-Luis Peydró, Andrea Polo and Enrico Sette

Double Bank Runs and Liquidity Risk Management

Filippo Ippolito, Ali K. Ozdagli and Ander Pérez Orive

Is Bank Debt Special for the Transmission of Monetary Policy? Evidence from the Stock Market

Filippo Ippolito and Ander Pérez Orive

Credit Lines: The Other Side of Corporate Liquidity