Gregorio De Felice

chief economist Intesa Sanpaolo

Head of Research e Chief Economist, Intesa Sanpaolo. È attualmente Presidente del Consiglio di Sorveglianza Fond. R&I e membro del CdA di diverse associazioni. Autore di pubblicazioni su mercati finanziari, sistema bancario e gestione del debito pubblico.

Head of Research and Chief Economist, Intesa Sanpaolo. President of the Supervisory Board of the R&I (Ricerca & Imprenditorialità) Foundation for the years 2022-2025. From 2007 to 2010, Chairman of AIAF, the Italian Association of Financial Analysts. From 2015 to 2018, Chairman of the International Conference of Commercial Bank Economists (ICCBE). Graduate at Luigi Bocconi University, Milan, Gregorio is a member of the Chief Economists’ Group of the European Banking Federation (EBF). He is also a member of the Board of Directors of a number of economic associations and foundations and of the main Pension Fund of the Intesa Sanpaolo Group. He is the author of many publications in the fields of monetary policy, financial markets, banking and the management of public debt.

Head of Research e Chief Economist, Intesa Sanpaolo. È attualmente Presidente del Consiglio di Sorveglianza Fond. R&I e membro del CdA di diverse associazioni. Autore di pubblicazioni su mercati finanziari, sistema bancario e gestione del debito pubblico.

Head of Research and Chief Economist, Intesa Sanpaolo. President of the Supervisory Board of the R&I (Ricerca & Imprenditorialità) Foundation for the years 2022-2025. From 2007 to 2010, Chairman of AIAF, the Italian Association of Financial Analysts. From 2015 to 2018, Chairman of the International Conference of Commercial Bank Economists (ICCBE). Graduate at Luigi Bocconi University, Milan, Gregorio is a member of the Chief Economists’ Group of the European Banking Federation (EBF). He is also a member of the Board of Directors of a number of economic associations and foundations and of the main Pension Fund of the Intesa Sanpaolo Group. He is the author of many publications in the fields of monetary policy, financial markets, banking and the management of public debt.