Fabrizio Spargoli

Assistant Professor of Finance at Rotterdam School of Management

Schools

  • Rotterdam School of Management

Links

Biography

Rotterdam School of Management

Education

  • Universitat Pompeu Fabra
    Ph.D., Economics

  • Universitat Pompeu Fabra
    Master of Science (M.Sc.), Economics

  • Università Politecnica delle Marche
    Dottorato, Economia Politica

  • Università Politecnica delle Marche
    Laurea Specialistica, Finance, Banking and Insurance

Teaching

  • Banking and Financial Intermediation (graduate), Rotterdam School of Management, 2015-2016
  • Innovations and Financial Markets (graduate), Rotterdam School of Management, 2014-2016
  • Banking Theory (graduate), Universitat Pompeu Fabra, 2011- 2013, teaching fellow
  • Analisis de Dades, Universitat Pompeu Fabra, 2010, teaching fellow
  • Econometria II, Universitat Pompeu Fabra, 2009, teaching fellow
  • Historia Económica Internacional, Universitat Pompeu Fabra, 2009, teaching fellow
  • Advanced Microeconomics I (graduate), Universitat Pompeu Fabra, 2009, teaching fellow

Research

  • "Does Uniqueness in Banking Matter?" (with Frank Hong Liu and Lars Norden), 2017
  • “Bank Distress, Recovery and Resolution Policies, and the Optimal Transparency in a Crisis”, 2016
  • “Bank Entry Regulation and Financial Development: The United States Free Banking Experience” (with P. Ager), 2015
  • “Optimal Information Disclosure and Bank Opacity”, 2013

Early Publications

“The Joint Dynamics of Oil Futures Prices In The NYMEX and ICE: Evidence From a Structural Garch Model”, with Paolo Zagaglia, in “OPEC, Oil Prices and LNG” edited by Edward R. Pitt and Christopher N. Leung, Nova Publishers, 2009.

“The Comovements Along the Forward Curve of Natural Gas Futures: A Structural View”, with Paolo Zagaglia, The Journal of Energy Markets, 1(3), 2008.

“Monetary Policy Transmission Mechanisms within the European Monetary Union”, Rivista di Politica Economica, (11), 2005, 31-68.

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