Financial Markets

The Financial Markets department examines the functioning, resilience, and change of financial markets, which today are essentially determined by exogenous and endogenous shocks, risk spillovers (e.g., due to the Corona pandemic, the Ukraine war, and the 2023 banking stress), monetary policy, technology, and regulation. This raises research questions about the consequences for asset pricing, competition, secondary market liquidity, market stability, systemic and country risk, and consumer protection. Specific regulatory measures such as the EU's Markets in Financial Instruments Directive (MiFID II), the European Market Infrastructure Regulation (EMIR), the Sustainable Finance Disclosure Regulation (SFDR) or secular trends such as demographic change or climate change affect the functioning of markets or the investment decisions of investors and are therefore also the subject of research in the department. The same applies to new digital developments such as FinTechs, BigTechs and recent developments in artificial intelligence, crypto assets or blockchain technology, which could disrupt the functioning of financial markets and contribute to systemic and sovereign risks, as well as the new EU regulation on crypto assets (MiCA), which aims to improve investor protection.


The department is (co-)organizing the following conference series:


Publications

Author/s Title Area Type Published
Monica Billio, Massimiliano Caporin, Lorenzo Frattarolo, Loriana Pelizzon Networks in Risk Spillovers: A Multivariate GARCH Perspective
Econometrics and Statistics
Financial Markets Published Paper 2023
Enrico Perotti A Safe Core Mandate
Policy Letter No. 103
Financial Markets Policy Paper 2023
Mariano Massimiliano Croce, Tatyana Marchuk, Christian Schlag The Leading Premium
Review of Financial Studies
Financial Markets Published Paper 2023
Gerrit von Zedlitz Mind the Gap?! The Current State of Biodiversity Reporting
White Paper No. 95
Financial Markets Policy Paper 2023
Matteo Bagnara, Milad Goodarzi Clustering-Based Sector Investing
SAFE Working Paper No. 397
Financial Markets SAFE Working Paper 2023
Giuliano Curatola, Ilya Dergunov International Capital Markets with Interdependent Preferences: Theory and Empirical Evidence
Journal of Economic Behavior & Organization
Household Finance, Financial Markets Published Paper 2023
Anastasia Kotovskaia, Tobias Tröger National Interests and Supranational Resolution in the European Banking Union
European Business Law Review
Financial Intermediation, Law and Finance, Financial Markets Published Paper 2023
Monica Billio, Michele Costola, Loriana Pelizzon, Max Riedel Creditworthiness and Buildings’ Energy Efficiency in the Italian Mortgage Market
Climate Investing: New Strategies and Implementation Challenges
Financial Markets Published Paper 2023
Christian Mücke Bank Dividend Restrictions and Banks’ Institutional Investors
SAFE Working Paper No. 392
Financial Markets SAFE Working Paper 2023
Ruggero Jappelli, Loriana Pelizzon, Marti Subrahmanyam Monetary Policy, the Yield Curve, and the Repo Market
SAFE Working Paper No. 395
Financial Markets SAFE Working Paper 2023

Current Research Team

Researcher Position
Billio, Monica SAFE Fellow
Branger, Nicole SAFE Fellow
Curatola, Giuliano SAFE Fellow
Fiore, Franco Other Researcher
Gabriel, Stefan Doctoral Student
Gastaldello, Alessandro Postdoctoral Researcher
Gomber, Peter SAFE Fellow
Kinzel, Arnold Other Researcher
Kraft, Holger SAFE Fellow
Latino, Carmelo Postdoctoral Researcher
Maddaloni, Angela SAFE Fellow
Pelizzon, Loriana Professor
Rajan, Pallavi Doctoral Student
Riedel, Max Postdoctoral Researcher
Schlag, Christian Professor
Schmeling, Maik SAFE Fellow
Shaliastovich, Ivan SAFE Fellow
Subrahmanyam, Marti SAFE Fellow
Theissen, Erik SAFE Fellow
Wagner, René Doctoral Student
Wang, Yue Doctoral Student