Andrea Tarelli is Associate Professor in the Department of Mathematics for Economic, Financial and Actuarial Sciences at the Catholic University of Milan. He holds a PhD in Finance from EDHEC Business School and MSc degrees in Electronics Engineering from Politecnico di Milano and Politecnico di Torino.

He he has been post-doctoral research fellow at Bocconi University and senior visiting research fellow at Collegio Carlo Alberto in Turin. He held teaching positions at EDHEC Business School and research roles at EDHEC-Risk Institute. Previously, he worked in the structured products group at JP Morgan (London), as well as in the equity volatility trading team at Société Générale (Paris).

His research interests are asset pricing, asset allocation, and sustainable finance, with publications in leading academic journals, such as the Journal of Financial Economics and Management Science.

Full CV