Angelo Ranaldo

Professor of Finance and Systemic Risk, University of St.Gallen

Angelo Ranaldo is Professor of Finance and Systemic Risk at the University of St. Gallen. Before joining the University of St. Gallen in 2012, Angelo worked for several years as an Economic Adviser and member of senior management at the Swiss National Bank. His professional experience also includes a visiting position as Senior Economist at the Federal Reserve of New York and several years in the banking areas of asset allocation and risk management.

He obtained his doctoral degree from the University of Fribourg and was a Visiting Scholar at the New York University – Stern School of Business. His main research interests are money markets, international finance, market microstructure, asset pricing, and systemic risk and financial stability issues. His work is published in various finance and economics journals such as Journal of Finance, Review of Financial Studies, Journal of Financial & Quantitative Analysis, or Review of Finance.

Content by this Author

CEPR Policy Research


  • 17 - 18 August 2019 / Peking University, Beijing / Chinese University of Hong Kong – Tsinghua University Joint Research Center for Chinese Economy, the Institute for Emerging Market Studies at Hong Kong University of Science and Technology, the Guanghua School of Management at Peking University, the Stanford Center on Global Poverty and Development at Stanford University, the School of Economics and Management at Tsinghua University, BREAD, NBER and CEPR
  • 19 - 20 August 2019 / Vienna, Palais Coburg / WU Research Institute for Capital Markets (ISK)
  • 29 - 30 August 2019 / Galatina, Italy /
  • 4 - 5 September 2019 / Roma Eventi, Congress Center, Pontificia Università Gregoriana Piazza della Pilotta, 4, Rome, Italy / European Center of Sustainable Development , CIT University
  • 9 - 14 September 2019 / Guildford, Surrey, UK / The University of Surrey