Nationality Italian | Name Andrea Beltratti | |
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Born 9 February 1959 (age 65) ( 1959-02-09 ) Turin, Italy Alma mater Universita degli Studi di TorinoUniversity of PaviaYale University Books Neural Networks for Economic and Financial Modelling, Models of economic growth with environmental assets Education |
Debito Sovrano - Conferenza Andrea Beltratti - Torino, 8 novembre 2011 - III parte
Andrea Beltratti (born February 9, 1959, Turin, Italy) is professor at Bocconi University, director of the Executive Master in Finance - EMF at SDA Bocconi School of Management and Chairman of Eurizon Capital. He has been Chairman of the Management Board of Intesa Sanpaolo until May 2013.
Contents
- Debito Sovrano Conferenza Andrea Beltratti Torino 8 novembre 2011 III parte
- MBA Reunion 2017 Andrea Beltratti
- Biography
- Academic career
- Financial markets
- Publications
- References

MBA Reunion 2017: Andrea Beltratti
Biography

He earned his undergraduate degree in Economics from Università degli Studi of Turin in 1982 and his PhD in Economics from Yale University in 1989 with a dissertation on stock price volatility. After being a Lecturer in Economics at the University of Turin, he has become associate Professor at Bocconi University in 1998 and then Full Professor in 2000.
During the 1990s, he studied economic growth and sustainable development. In his studies, where he analyzed some of the principles of political philosophy stated by John Rawls, Beltratti addressed the postulate that an economy is sustainable when it does not compromise future generations' wealth. Meanwhile, he collaborated with the Fondazione ENI Enrico Mattei and joining research groups at ISTAT, Società Italiana degli Economisti, Intergovernmental Panel on Climate Change (IPCC) and Stanford Institute of Theoretical Economics.
In 1997-2008 he was Scientific Director of the BSI-Gamma Foundation. In 2012 he worked with Intesa Sanpaolo to found the Savings Museum in Turin and became President of Patti Chiari, the unit of the Associazione Bancaria Italiana, which deals with financial education.
Academic career
In 1998 he was Scientific Coordinator of the Master in Finance offered by the University of Turin. In 2000-2004 he was appointed Director of the degree in Economics and Social Sciences at Bocconi University. In 2006-2008 he was member of the Committee that assigns the Marco Fanno scholarships.
Financial markets
He is one of the early researchers to study the comovement of the bond and stock markets in two papers, which were published in the early 1990s with the Nobel Prize Winner Robert Shiller, his advisor at Yale. During the 2000s he has studied the impact of corporate governance on stock market prices, highlighting its role, together with regulation and business models, in determining the behavior of the stock market during the 2008 credit crisis.