Eleonora Iachini

Curriculum

Eleonora Iachini is a Ph.D. Candidate in Economics at Luiss Guido Carli. She received his master’s degree in Economics and Banking from the University of Siena. Her research interests lie in the fields of Financial Economics,Political Economy and Policy Evaluation.

Working Paper

  1. Market liquidity in the time of Covid-19: new dynamics or old trends?
  2. Mutual funds and market liquidity: a two-way relationship.

Publications

  1. Systemic liquidity risk and portfolio theory: An application to the Italian financial markets,  Eleonora Iachini and Stefano Nobili, Spanish Review of Financial Economics, Vol. 13. No. 02,  July-December 2015.
  2. Are incentives for R&D effective? Evidence from a regression discontinuity approach, Raffaello Bronzini and Eleonora Iachini, American Economic Journal: Economic Policy, Vol. 6 No. 4, November 2014.
  3. Why Are Payment Habits so Heterogeneous? Evidence from Regional Panel Data in Italy, Guerino Ardizzi and Eleonora Iachini, Rivista Bancaria –Minerva Bancaria No. 2 -3/2017.

Supervisor(s):

  1. Paolo Vitale
  2. Paolo Santucci de Magistris