Emilio Barucci is Full Professor of Financial Mathematics at the Department of Mathematics, Politecnico di Milano. He is the Director of the Quantitative Finance Group of the Department of Mathematics, Politecnico di Milano. He is also independent director of Dea Capital Alternative Funds sgr (one of the largest Italian private equity fund) and independent director of the Aviva group in Italy (the first insurance company in UK).
3 Ebooks tarafından Emilio Barucci
Emilio Barucci: Financial Markets Theory
Financial Markets Theory presents classical asset pricing theory, a theory composed of milestones such as portfolio selection, risk aversion, fundamental asset pricing theorem, portfolio frontier, CA …
PDF
İngilizce
DRM
€58.04
Emilio Barucci & Claudio Fontana: Financial Markets Theory
This work, now in a thoroughly revised second edition, presents the economic foundations of financial markets theory from a mathematically rigorous standpoint and offers a self-contained critical dis …
EPUB
İngilizce
DRM
€89.70
Emilio Barucci: Who will Rescue Finance?
The main idea of this book is that the root cause of the financial crisis is the ambition to handle risk as a well-defined commodity that can be traded in the market. The book provides an interpretat …
EPUB
İngilizce
DRM
€34.66