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Filippo Ippolito

Filippo Ippolito

Associate Professor UPF
Faculty, Finance, Accounting & Control

Ippolito Filippo holds a PhD in Finance from University of Oxford, Master in Russian and Eastern European Studies, from St. Antony's College (Oxford) and a Degree in Economics from Università di Siena. He has been an Academic Co-Director of the Master of Science in Finance and Banking at UPF Barcelona School of Management.

He is an Associate Professor at Universitat Pompeu Fabra, and the Academic Director of the Master in Finance at Barcelona School of Economics, affiliated to Universitat Pompeu Fabra. Lecturer on financial and marketing matters...


  • Finance & Control

  • Doctor, Social and Legal Sciences, Accounting and Finance
  • Master Universitario, Social and Legal Sciences, Economics, management and health sciences
  • Graduate, Social and Legal Sciences, Economics, management and health sciences

Professor

  • Master of Science in Finance and Banking

  • Partner Advisor - Oxera Consulting Group LLp.
  • Other - PENSIUM S.L.
  • Academic Director, Finance, Accounting & Control - UPF Barcelona School of Management
  • Faculty, Finance, Accounting & Control - UPF Barcelona School of Management
  • Faculty - Merton College
  • Editorial Assistant - Oxford Analytica Led.
  • Head of department - Merton College
  • Internal Auditor - Banca Monte dei Paschi di Siena

Actividad Investigadora y transferencia

  • IPPOLITO, F., STERI, R., TEBALDI, C., VILLA, A. (2023). Mind the Gap: The Market Price of Financial Flexibility. SSRN Electronic Journal.
  • IPPOLITO, F., STERI, R., TEBALDI, C., VILLA, A. (2022). Levered Returns and Capital Structure Imbalances. SSRN Electronic Journal.
  • IPPOLITO, F., STAMMATI, L., ALIMONTI, R. (2022). A Method to Assess the Impact of the Universal Postal Service Obligation. Dir: Pier Luigi Parcu, Timothy J. Brennan, Victor Glass. Springer International Publishing.
  • BIGURI, K., BROWNLEES, C., IPPOLITO, F. (2022). Corporate hedging and the variance of stock returns. Journal of Corporate Finance.
  • IPPOLITO, F. (2021). Credit Lines and the Liquidity Insurance Channel. Journal of Money, Credit and Banking.
  • IPPOLITO, F. (2020). Debt Structure. Annual Review of Financial Economics.
  • IPPOLITO, F. (2020). Bank lines of credit as contingent liquidity: Covenant violations and their implications. Journal of Financial Intermediation.
  • IPPOLITO, F. (2018). The transmission of monetary policy through bank lending: The floating rate channel. International Journal of Monetary Economics and Finance.
  • IPPOLITO, F., OTROS , O. (2022). Institutional Protection Schemes in the Banking Union. Economic Governance Support Unit, Brussels, Bélgica.