Main areas of expertise
Corporate Finance; Private Equity; Mergers & Acquisitions; Infrastructure Finance.
Ph. D. in Finance from Bocconi University, Carlo Chiarella is the Director of the department of Finance and Accounting at CUNEF Universidad.
His research focuses on corporate financing and investment decisions, especially in the contexts of capital markets and mergers and acquisitions.
He has authored several articles in these areas including publications in the Journal of Financial Econometrics, the Journal of International Financial Markets, Institutions & Money and the International Review of Economics and Finance.
Chiarella, C., & Ostinelli, D. (2020). Financial or strategic buyers: who is at the gate? International Review of Economics and Finance, 67, 393-407.
Gatti, S., & Chiarella C. (2020), Disruption in the Infrastructure Sector – Challenges and Opportunities for Developers, Investors and Asset Managers. Springer, Heidelberg.
Chiarella, C., Cubillas, E. & Suárez, N. (2019). Bank recapitalization in Europe: informational content in the issuing method. Journal of International Financial Markets, Institutions & Money, 63, 101134.
Bianchi, D., & Chiarella, C. (2019). An Anatomy of Industry Merger Waves. Journal of Financial Econometrics, 17(2), 153-179.
Caselli, S., Chiarella, C., Gatti, S. & Gigante, G. (2019). Perché le imprese italiane si quotano (e perché no). Economia & Management, n. 1, 75-84.
Chiarella, C., & Gatti, S. (2014). M&A in tempi difficili: c’è ancora valore nella crescita? Economia & Management, n. 5, 3-30.