Filippo De Marco

Associate Professor
Knowledge groupFinance
Research domainsFinancial Markets

Biography

Filippo De Marco is an Associate Professor of Finance at Università Bocconi. He is a CEPR (Centre for Economic Policy Research) Research Affiliate in Financial Economics. His research interests lie primarily in the field of empirical banking and corporate finance. He studies how financial or regulatory shocks affect the real economy through bank balance sheets and their lending policies. He has published many articles over his topics of interest in many Journals, including Review of Financial Studies, Journal of Banking and Finance and Journal of Financial Economics, among others. He got a Ph.D. in Economics from Boston College and a M.Sc. and B.A. in Economics from the University of Bologna and Padova, respectively.

Recent Publications

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  • 2025
    Customer data access and fintech entry: Early evidence from open banking
    BABINA, T., S. BAHAJ, G. BUCHAK, F. DE MARCO, A. FOULIS, W. GORNALL, F. MAZZOLA, T. YU, "Customer data access and fintech entry: Early evidence from open banking", Journal of Financial Economics, 2025, vol. 169, pp. 103950
  • 2025
    The El Niño Southern Oscillation and the salinity of land and water in the United States
    LIMODIO, N., F. DE MARCO, I. DAL BARCO, "The El Niño Southern Oscillation and the salinity of land and water in the United States", Plos One, 2025, vol. 20, no. 2, pp. e0311544
  • 2024
    Bank Competition and Information Production
    DE MARCO, F., S. J. PETRICONI, "Bank Competition and Information Production", Journal of Financial and Quantitative Analysis, 2024, vol. 59, no. 7, pp. 3479–3499
  • 2024
    Information Technology and Credit: Evidence from Public Guarantees
    CORE, F., F. DE MARCO, "Information Technology and Credit: Evidence from Public Guarantees", Management Science, 2024, vol. 70, no. 9, pp. 6202-6219
  • 2021
    Banks as patient lenders: Evidence from a tax reform
    CARLETTI, E., F. DE MARCO, V. IOANNIDOU, E. SETTE, "Banks as patient lenders: Evidence from a tax reform", Journal of Financial Economics, 2021, vol. 141, no. 1, pp. 6-26
  • 2021
    Beyond Home Bias: International Portfolio Holdings and Information Heterogeneity
    DE MARCO, F., M. MACCHIAVELLI, R. VALCHEV, S. GIGLIO, "Beyond Home Bias: International Portfolio Holdings and Information Heterogeneity", Review of Financial Studies, 2021, vol. 35, no. 9, pp. 4387-4422

Grants & Honors

  • Excellence in Research Award, Università Commerciale Luigi Bocconi, 2024

  • Excellence in Research Award, Università Commerciale Luigi Bocconi, 2022