EDUCATION

PhD in Mathematical Finance, University of Milan-Bicocca, 2010

BA in Finance, University of Pavia, 2006


ACADEMIC POSITION

From 2022 Associate Professor, Mathematical Finance, Department of Statistics and Quantitative Methods, University of Milan-Bicocca.

From 2019 to 2022 Associate Professor, Mathematical Finance, Department of Economics, University of Genoa.

From 2011 to 2019 Researcher, Mathematical Finance, Department of Economics, University of Genoa.


EDITORIAL EXPERIENCE

From 2023 member of the editorial board of the journal “Frontiers in Applied Mathematics and Statistics”.

Editor of the AIRO Springer Serie Volume “Advances in Optimization and Decision Science for Society, Services and Enterprises” (2019).

Referee for many international journals, among the others: Economics Bullettin, Journal of Asset Management, International Journal of Financial Studies, Theory and Decisions,Chaos Solitons and Fractals, OR Spectrum, Financial Innovation, Frontiers in Applied Mathematics and Statistics, Finance Research Letters


Teaching

Here's a list of past and present courses: "Matematica Generale", "Matematica Finanziaria", "Matematica per le Applicazioni Economiche e Finanziarie", "Modern Portfolio Theory", "Matematica per L'Economia dei Fenomeni Turistici", "Abilità Informatiche Magistrale", "Portfolio Theory"