About
Cosimo Munari is an Associate Professor at the Department of Economics, University of Verona. His academic rank is Associate Professor in the area of Mathematical Methods for Economy, Finance, and Actuarial Sciences. He holds 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. Before joining Verona in 2023, he was an Assistant Professor at the University of Zurich and a member of the Swiss Finance Institute.
His research focuses on risk management, financial regulation, decision theory under uncertainty, and actuarial science. Key areas include risk measurement, asset pricing, insurance regulation, and systemic risk. He contributes to top-tier journals in quantitative finance and econometrics.
Munari teaches courses on financial mathematics, risk management, and financial modeling at the undergraduate and graduate levels. He is actively involved in departmental governance, serving on committees such as the Public Engagement Committee and the Research Advisory Board. His work integrates theoretical advancements with practical applications in policy and industry.
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