Massimo Guidolin joins Bocconi’s Department of Finance as full professor in the academic year 2010-2011 coming from Manchester Business School.
“My scientific interest is applied econometrics”, he explains, “statistical analysis of data, financial time series in particular”.
He graduated at Bocconi in 1993 and worked as a junior researcher at the Paolo Baffi Centre the following year. He never severed the link to his alma mater, but he developed his career abroad, obtaining a PhD from University of California, San Diego, and holding positions at University of Virginia, Federal Reserve Bank of St. Louis and Manchester Business School.
He published in renowned scholarly journals such as American Economic Review, Journal of Financial Economics, Journal of Econometrics, Review of Financial Studies and the Economic Journal. He sits on the editorial boards of Journal of Economic Dynamics and Control, International Journal of Forecasting, Journal of Business Finance and Accounting and Quarterly Review of Economics and Finance.