Giulio Bagattini is a doctoral candidate in the Finance Department at Frankfurt School of Finance & Management. His research interests lie in asset pricing and portfolio choice, as well as empirical banking and financial intermediation. He is currently visiting researcher in the Statistics Department at the Bundesbank.
Mr. Bagattini holds a BSc and an MSc in Mathematics from the University of Pavia. He is an alumnus of Collegio Ghislieri in Pavia, of the Institute for Advanced Study (IUSS), and he spent two semesters as a visiting student at Humboldt University in Berlin.
Before joining Frankfurt School of Finance & Management in September 2014, Mr. Bagattini gained work experience in the financial risk management division at KPMG Advisory in Milan.