Biography

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)

  1. 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.
  2. Chauvet, M., Morana, C., & Silva, M. (2026). Extreme weather in Europe: Determinants and economic impact. European Economic Review, Article 105327. Advance online publication.
  3. Cassola, N., Morana, C., & Ossola, E. (2025). Climate change risk pricing in the European stock market. Applied Economics, 57(58), 10081–10103.
  4. Castle, J. L., Miller, J. I., Morana, C., et al. (2025). Climate and Sustainable Energy Econometrics and Statistics. Environmetrics, 36(8), Article e70050.
  5. Bagliano, F. C., & Morana, C. (2025). Eurozone economic integration: Historical developments and new challenges ahead. European Economic Review, 176, Article 105023.
  6. 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.
  7. 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.
  8. Morana, C. (2024). A new macro-financial condition index for the euro area. Econometrics and Statistics, 29, 64–87.
  9. Morana, C. (2023). Euro area inflation and a new measure of core inflation. Research in Globalization, 7, Article 100159.
  10. Cassola, N., Morana, C., & Ossola, E. (2023). Green risk in Europe. University of Milan Bicocca Department of Economics, Management and Statistics Working Paper.
  11. Giancaterini, F., Hecq, A., & Morana, C. (2022). Is climate change time-reversible? Econometrics, 10(4), Article 36.
  12. 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.
  13. 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.
  14. Baiardi, D., & Morana, C. (2021). Climate change awareness: Empirical evidence for the European Union. Energy Economics, 96, Article 105163.
  15. Morana, C., & Sbrana, G. (2019). Climate change implications for the catastrophe bonds market: An empirical analysis. Economic Modelling, 81, 274–294.
  16. Morana, C., & Sbrana, G. (2019). CefES‐DEMS WORKING PAPER SERIES. CefES-DEMS Working Paper.
  17. Baiardi, D., & Morana, C. (2018). Financial development and income distribution inequality in the euro area. Economic Modelling, 70, 40–55.
  18. Morana, C., & Sbrana, G. (2018). Some financial implications of global warming: An empirical assessment. bepress.
  19. 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.
  20. 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

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