About
Fernando Garcia is a Professor at the Universitat Politècnica de València, affiliated with the School of Economics and Social Sciences. His research focuses on Financial Economics, Portfolio Optimization, Risk Management, and Sustainable Finance, with a strong emphasis on Multicriteria Decision Analysis and Computational Finance.
- PhD in Business Administration and Management (Universitat Politècnica de València, 2005)
- Licenciado in Business Administration and Management (Universitat de València, 1999)
- Diplom. Kaufmann (Hochschule für Wirtschaft Bremen, 1998)
His publications highlight trends in socially responsible investing, index tracking, and credit risk management using advanced methodologies like fuzzy logic, neural networks, and goal programming. He has collaborated extensively with researchers such as Jairo González-Bueno, Francisco Guijarro, and Javier Oliver across 21 works since 2009.
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