Magnani, Maira
Working Paper Series editor
Magnani, Maira is currently a postdoctoral scholar in the Stanford Research Initiative on Long-Term Investing (SLTI), at Stanford University. She holds a PhD in Human Sciences and Sociology from the University of Neuchâtel (Switzerland) and in Geography from the Fluminense Federal University (Brazil). Has a master's degree in Geography (2021) from Universidade Federal Fluminense (UFF) and two bachelor's degrees in Sciences and Humanities (2017) and Public Policy (2018) from Universidade Federal do ABC (UFABC).
Her research expertise is in economic and financial geography. Her research interests include geographies of money and finance, institutional investors, asset managers, real estate and ESG financial industries. She is currently researching the role played by asset managers in controlling capital flows. Her focus is on the relationships and behaviours that surround the pooling of capital, management of funds, decision-making processes and the channeling of money.

