Corporate De-leveraging and Credit Spreads
|22 January 2003
|13:00-14:00 (Timezone: Europe/London)
|ICMA Centre, Room G03/04
Currently, Francesco focuses on global fixed income strategy. His research interests include credit risk and he has developed econometric models in this area. Francesco's work appears in several of Goldman Sachs? publications as well as the Journal of Fixed Income and the Credit magazine. Francesco started working for Goldman Sachs in September 1993 as a consultant to the government bond trading desk of Goldman Sachs Sim, Milan. He joined the Economics team in London at the end of 1995 specialising on Southern European economies. Francesco holds a MSc in Finance from the London Business School. He is a graduate cum laude of Bocconi University, Milan and has studied at the Hochschule St.Gallen in Switzerland.