Prof. Claudio Morana
University of Milano-Bicocca, Italy
Professor
Email: [email protected]
Qualifications
1997 Ph.D., Economics, University of Aberdeen, UK
1994 M.Sc., Economics., University of Glasgow, UK
Publications (Selected)
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Cassola, N., Morana, C., & Ossola, E. (2026). The pricing of environmental risk: an empirical analysis of the European industry portfolios. Handbook of Climate Change and Financial Markets, 162–185.
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Chauvet, M., Morana, C., & Silva, M. (2026). Extreme weather in Europe: Determinants and economic impact. European Economic Review, Article 105327. Advance online publication.
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Cassola, N., Morana, C., & Ossola, E. (2025). Climate change risk pricing in the European stock market. Applied Economics, 57(58), 10081–10103.
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Castle, J. L., Miller, J. I., Morana, C., et al. (2025). Climate and Sustainable Energy Econometrics and Statistics. Environmetrics, 36(8), Article e70050.
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Bagliano, F. C., & Morana, C. (2025). Eurozone economic integration: Historical developments and new challenges ahead. European Economic Review, 176, Article 105023.
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Benigno, P., Morana, C., & Tirelli, P. (2025). Introduction to the special issue on macroeconomic regime changes: Theory, evidence, and policy challenges ahead. European Economic Review, 180(C), Article 105085.
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Morana, C., Cassola, N., & Ossola, E. (2024). The pricing of environmental risk: An empirical analysis of the European industry portfolios. Handbook of Climate Change and Financial Markets.
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Morana, C. (2024). A new macro-financial condition index for the euro area. Econometrics and Statistics, 29, 64–87.
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Morana, C. (2023). Euro area inflation and a new measure of core inflation. Research in Globalization, 7, Article 100159.
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Cassola, N., Morana, C., & Ossola, E. (2023). Green risk in Europe. University of Milan Bicocca Department of Economics, Management and Statistics Working Paper.
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Giancaterini, F., Hecq, A., & Morana, C. (2022). Is climate change time-reversible? Econometrics, 10(4), Article 36.
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Cassola, N., De Grauwe, P., Morana, C., et al. (2022). The risks of exiting too early the policy responses to the COVID-19 recession. Research in Globalization, 4, Article 100073.
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Burchi, M. (2022). L'introduzione dell'Euro digitale e le sue conseguenze sul sistema bancario e sulla politica monetaria. Università degli Studi di Milano-Bicocca.
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Baiardi, D., & Morana, C. (2021). Climate change awareness: Empirical evidence for the European Union. Energy Economics, 96, Article 105163.
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Morana, C., & Sbrana, G. (2019). Climate change implications for the catastrophe bonds market: An empirical analysis. Economic Modelling, 81, 274–294.
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Morana, C., & Sbrana, G. (2019). CefES‐DEMS WORKING PAPER SERIES. CefES-DEMS Working Paper.
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Baiardi, D., & Morana, C. (2018). Financial development and income distribution inequality in the euro area. Economic Modelling, 70, 40–55.
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Morana, C., & Sbrana, G. (2018). Some financial implications of global warming: An empirical assessment. bepress.
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Morana, C. (2017). The US dollar/Euro exchange rate: Structural modeling and forecasting during the recent financial crises. Journal of Forecasting, 36(8), 919–935.
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Bagliano, F. C., & Morana, C. (2017). It ain’t over till it’s over: A global perspective on the Great Moderation-Great Recession interconnection. Applied Economics, 49(49), 4946–4969.
Profile Details
https://www.unimib.it/claudio-morana
https://scholar.google.com/citations?user=pSuh62kAAAAJ&hl=en
https://www.researchgate.net/profile/Claudio-Morana/5
WOS ResearcherID: F-1680-2013