Ivan Gufler

Curriculum

Ivan Gufler is a Ph.D. Candidate in Economics at Luiss Guido Carli. He received his master’s degree in Economics from Ca’ Foscary University.

From 2021 he serves as external research collaborator at the Ca’ Foscari University of Venice within the project “Incorporating environmental, social and governance (ESG) criteria in credit analysis and ratings” (EIBURS funding program).

Previously he worked as Research Assistant Intern at the Venice centre in Economic and Risk Analytics for public policies.

His research interests lie in the field of Finance, in particular demand-based asset pricing.

Publications

– Gufler, Ivan, Donadelli, Michael, Castellini, Marta (2020). “On the Impact of COVID-19-Related Uncertainty”. In: Monica Billio and Simone Varotto. A New World Post COVID-19: Lessons for Business, the Finance Industry and Policy Makers. INNOVATION IN BUSINESS, ECONOMICS AND FINANCE, p. 219-232, Università degli Studi Ca’ Foscari di Venezia, ISBN: 978-88-6969-442-4, ISSN: 2784-8574, doi: 10.30687/978-88-6969-442-4/016
– Donadelli M., Gufler I., Pellizzari P. (2020). “The macro and asset pricing implications of rising Italian uncertainty: Evidence from a novel news-based macroeconomic policy uncertainty index”. Economics Letters, vol. 197,ISSN: 0165-1765, doi: 10.1016/j.econlet.2020.109606
– Donadelli, Michael, Gufler, Ivan (2021). “Consumption smoothing, risk sharing and financial integration”. World Economy, vol. 44, p. 143-187, ISSN: 0378-5920, doi: 10.1111/twec.12996
– Donadelli, Michael, Ferranna, Licia, Gufler, Ivan, Paradiso, Antonio (2021). “Using past epidemics to estimate the macroeconomic implications of COVID-19: A bad idea!”. Structural Change and Economic Dynamics, vol. 57, p. 214-224,ISSN: 0954-349X, doi: 10.1016/j.strueco.2021.03.002
– Borghesi, S., Castellini, M., Comincioli, N., Donadelli, M., Gufler, I., Vergalli, S. (2022). “European green policy announcements and sectoral stock returns”. Energy Policy, vol. 166, p. 1-27, ISSN: 0301-4215, doi:10.1016/j.enpol.2022.113004
– Costola M., Donadelli M., Gerotto L., Gufler I. (2022). “Global risks, the macroeconomy, and asset prices”. Empirical Economic, vol. online, ISSN: 0377-7332, doi: 10.1007/s00181-022-02205-9
– M. Lucchetta, M. Donadelli, I. Gufler, R. Kizys (2022). “Variability and strictness in COVID-19 government response: A macro-regional assessment”. Journal of Government and Economics, vol. 6, p. 1-21, ISSN: 2667-3193, doi: 10.1016/j.jge.2022.100039
– Donadelli, M., I. Gufler, and A. Paradiso. “Financial market integration: A complex and controversial journey.” International Review of Financial Analysis (2024): 103100, https://doi.org/10.1016/j.irfa.2024.103100
– Carlini, F., Farina, V., Gufler, I., & Previtali, D. (2024). “Do stress and overstatement in the news affect the stock market? Evidence from COVID-19 news in The Wall Street Journal”. International Review of Financial Analysis, 93, 103178, https://doi.org/10.1016/j.irfa.2024.103178

Website

https://sites.google.com/view/ivangufler

Supervisor(s):

  1. Emanuele Tarantino