I hold an MSc in Mathematics from the University of Milan, an MA in Finance from Collegio Carlo Alberto in Turin, and a PhD in Financial Mathematics from ETH Zurich. From 2017 to 2023 I was assistant professor in Finance and Insurance at the University of Zurich and a member of the Swiss Finance Institute. Since 2023 I have joined the University of Verona. My core research interests lie at the intersection between risk and capital management.
Modules running in the period selected: 6.
Click on the module to see the timetable and course details.
Course | Name | Total credits | Online | Teacher credits | Modules offered by this teacher |
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Bachelor's degree in Economics and Business | Financial mathematics (2024/2025) | 9 | 4.75 | ||
Master’s degree in Banking and Finance | Financial risk management (2024/2025) | 12 | 9 | GESTIONE QUANTITATIVA DEL RISCHIO | |
Master’s degree in International Economics and Business | International financial modelling (2024/2025) | 6 | 6 | ||
Bachelor's degree in Economics and Business | Financial mathematics (2023/2024) | 9 | 3.75 | ||
Master’s degree in Banking and Finance | Financial Risk Management (2023/2024) | 9 | 9 | ||
Master’s degree in International Economics and Business | International financial modelling (2023/2024) | 6 | 6 |
Di seguito sono elencati gli eventi e gli insegnamenti di Terza Missione collegati al docente:
Office | Collegial Body |
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Commissione Terza Missione Public Engagement - Department Economics | |
member | Economics Department Council - Department Economics |
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