Bonelli, Diego

Research Economist

Financial Analysis Division
Market Analysis and Intelligence Department
DG Operations, Markets and Payment Systems

Información de contacto

Campos de interés

Macro-finance, Credit markets, and Financial Intermediation

JEL Codes

G10, G12, G20, G32, E44, E43

Publications

Outcomes, risk-taking, and incentives: Evidence from asset managers

Autores: Carsten Bienz, Diego Bonelli, Aksel Mjøs, Francisco Santos.

Publicado en: Journal of Corporate Finance, 2026, Vol. 89, 102974

Inflation risk and yield spread changes

Autor: Diego Bonelli

Publicado en Banco de España Working Papers - #2603

Good inflation, bad inflation: implications for risky asset prices

Autor: Diego Bonelli, Berardino Palazzo y Ram Yamarthy

Publicado en Banco de España Working Papers - #2525