Stefano Battiston

Stefano Battiston

Universität Zürich

H-index: 50

Europe-Switzerland

About Stefano Battiston

Stefano Battiston, With an exceptional h-index of 50 and a recent h-index of 38 (since 2020), a distinguished researcher at Universität Zürich, specializes in the field of Financial Networks, Sustainable Finance, Systemic Risk, Complex Networks.

His recent articles reflect a diverse array of research interests and contributions to the field:

Learning from COVID-19: A roadmap for integrated risk assessment and management across shocks of pandemics, biodiversity loss, and climate change

Financial stability through the lens of complex systems

The risks of climate tipping points for financial investors

Over with carbon? Investors’ reaction to the Paris Agreement and the US withdrawal

Mobilizing Finance for the Just Energy Transition in the European Union

Credit Valuation Adjustment in Financial Networks

Climate credit risk and corporate valuation

Taxonomy-alignment and transition risk: a country-level approach

Stefano Battiston Information

University

Position

Dept. Banking and Finance FINEXUS Center

Citations(all)

12978

Citations(since 2020)

6810

Cited By

8913

hIndex(all)

50

hIndex(since 2020)

38

i10Index(all)

101

i10Index(since 2020)

87

Email

University Profile Page

Universität Zürich

Google Scholar

View Google Scholar Profile

Stefano Battiston Skills & Research Interests

Financial Networks

Sustainable Finance

Systemic Risk

Complex Networks

Top articles of Stefano Battiston

Title

Journal

Author(s)

Publication Date

Learning from COVID-19: A roadmap for integrated risk assessment and management across shocks of pandemics, biodiversity loss, and climate change

Environmental Science & Policy

Anna Scolobig

Maria João Santos

Rémi Willemin

Richard Kock

Stefano Battiston

...

2024/5/1

Financial stability through the lens of complex systems

Journal of Financial Stability

Grzegorz Hałaj

Serafin Martinez-Jaramillo

Stefano Battiston

2024/4/1

The risks of climate tipping points for financial investors

Paul Waidelich

Lena Klaaßen

Stefano Battiston

Bjarne Steffen

2024/3/7

Over with carbon? Investors’ reaction to the Paris Agreement and the US withdrawal

Journal of Financial Stability

Lucia Alessi

Stefano Battiston

Virmantas Kvedaras

2024/2/7

Mobilizing Finance for the Just Energy Transition in the European Union

Finance: Equitable growth, finance & institutions insight

Pietro Calice

Dimitrios G Demekas

Stefano Battiston

Irene Monasterolo

Victor Fitzpatrick Duggan

2023/7/17

Credit Valuation Adjustment in Financial Networks

arXiv preprint arXiv:2305.16434

Irena Barjašić

Stefano Battiston

Vinko Zlatić

2023/5/25

Climate credit risk and corporate valuation

Available at SSRN 4124002

Stefano Battiston

Antoine Mandel

Irene Monasterolo

Alan Roncoroni

2023/4/3

Taxonomy-alignment and transition risk: a country-level approach

Lucia Alessi

Stefano Battiston

2023

Technological greenness and long-run performance

Available at SSRN 4639787

Stefano Battiston

Irene Monasterolo

Maurizio Montone

2023/11/21

The NACE–CPRS–IAM mapping: A tool to support climate risk analysis of financial portfolio using NGFS scenarios.

Available at SSRN 4223606

Stefano Battiston

Irene Monasterolo

Bas van Ruijven

Volker Krey

2022/9/19

Pre-Production Version

Giacomo Bressan

Irene Monasterolo

Stefano Battiston

2022/6/20

Asset-level climate physical risk assessment is key for adaptation finance

Available at SSRN 4062275

Giacomo Bressan

Anja Duranovic

Irene Monasterolo

Stefano Battiston

2022/3/20

The Role of Green Financial Sector Initiatives in the Low-Carbon Transition: A Theory of Change

Irene Monasterolo

Antoine Mandel

Stefano Battiston

Andrea Mazzocchetti

Klaus Oppermann

...

2022

Two sides of the same coin: Green Taxonomy alignment versus transition risk in financial portfolios

International Review of Financial Analysis

Lucia Alessi

Stefano Battiston

2022/11/1

Sustainable investing and climate transition risk: a portfolio rebalancing approach

Journal of Portfolio Management

Giacomo Bressan

Irene Monasterolo

Stefano Battiston

2022

Reducing climate transition risk in central banks’ asset purchasing programs

Available at SSRN 3770192

Giacomo Bressan

Irene Monasterolo

Stefano Battiston

2021

Accounting for finance is key for climate mitigation pathways

Science

Stefano Battiston

Irene Monasterolo

Keywan Riahi

Bas J van Ruijven

2021/5/28

Interconnected banks and systemically important exposures

Journal of Economic Dynamics and Control

Alan Roncoroni

Stefano Battiston

Marco D’Errico

Grzegorz Hałaj

Christoffer Kok

2021/12/1

Reshaping the Financial Network: Externalities and Redistribution Effects in Central Clearing

SSRN

Olga Briukhova

Marco D'Errico

Stefano Battiston

2021

The physics of financial networks

Marco Bardoscia

Paolo Barucca

Stefano Battiston

Fabio Caccioli

Giulio Cimini

...

2021/7

See List of Professors in Stefano Battiston University(Universität Zürich)

Co-Authors

H-index: 239
Joseph E. Stiglitz

Joseph E. Stiglitz

Columbia University in the City of New York

H-index: 171
Robert M May

Robert M May

University of Oxford

H-index: 57
Mauro Gallegati

Mauro Gallegati

Università Politecnica delle Marche

H-index: 57
Cars Hommes

Cars Hommes

Universiteit van Amsterdam

H-index: 33
Domenico Delli Gatti

Domenico Delli Gatti

Università Cattolica del Sacro Cuore

H-index: 24
Fabio Caccioli

Fabio Caccioli

University College London

academic-engine