Stefano Giglio

Professor of Finance

Yale School of Management


Professor Stefano Giglio is the Professor of Finance at the Yale School of Management.

Professor Giglio’s research interests span several topics, including asset pricing, macroeconomics, and real estate, with a particular focus on hedging macroeconomic risks using different financial instruments: crash risk, uncertainty risk, and climate risk.

Professor Giglio received his BA from Bocconi University and his Ph.D. in Economics from Harvard University. He started his academic career at the University of Chicago Booth School of Business and joined the Yale School of Management faculty in 2017. He has been awarded several prizes, including the AQR Insight Award, the Fama-DFA Prize for the Best Paper in the Journal of Financial Economics, and the UBS Global Asset Management Award for Research in Investments, and his work has been featured in several news outlets, including the Economist and the New York Times. He currently serves as an editor for the Review of Financial Studies.

Stefano Giglio Professor of Finance at Yale School of Management.
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