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Marco Giacoletti
Fostering collaboration across sectors to enhance financial understanding, Marco Giacoletti serves as an Assistant Professor of Finance and Business Economics at the USC Marshall School of Business. With a robust academic foundation, he earned his PhD in Finance from the prestigious Stanford Graduate School of Business. His research interests are diverse, encompassing real estate finance, household finance, asset pricing, and fixed income, reflecting his commitment to advancing knowledge in these critical areas. Professor Giacoletti's scholarly contributions have been recognized through publications in top-tier academic journals, where his work continues to influence and shape the field of finance. His research is characterized by a keen analytical approach and a dedication to exploring the complexities of financial markets and instruments. In recognition of his outstanding research capabilities, Marco was honored with the 2017 Cubist Systematic Strategies PhD Candidate Award for Outstanding Research. This accolade underscores his ability to produce innovative and impactful research that resonates within the academic community and beyond. At USC Marshall, Professor Giacoletti is not only a dedicated researcher but also a passionate educator, committed to mentoring the next generation of finance professionals. His teaching philosophy emphasizes the integration of theoretical knowledge with practical application, preparing students to navigate and excel in the dynamic world of finance.
Research Interests
Publications
, 3695-3741, 2021-03-25