
About
Francesca Beccacece is an Associate Professor of Financial Mathematics at Bocconi University in Milan. She has held leadership roles as Director of the Bachelor of Science in Economics and Management for Arts, Culture, and Communication (2016–2019) and Director of the Master in Quantitative Finance and Risk Management (2008–2010; 2012–2014). Her educational background includes a Degree in Economics from Università di Parma.
Her research focuses on Quantitative Finance (financial markets models, asset pricing, term structure models), Decision Theory (benchmarking models in finance), and Risk Theory (default risk modeling). Recent work explores multivariate risk attitudes in sustainability policies and regulatory principles for financial amortization. Earlier studies include applications of functional ANOVA in utility theory and stochastic frameworks for project evaluation.
Teaching responsibilities span undergraduate and graduate courses, including Financial Models for Valuation, Mathematics, and Quantitative Methods for Social Sciences. Past courses include Mathematics, Advanced Financial Mathematics, Quantitative Methods for Management, and Fixed Income/Asset Pricing in master programs.
Her contributions to academia include curriculum development and editorial work in finance-related journals. She advises on financial modeling and risk strategies, though specific advisees are not listed. No scientific awards were explicitly mentioned in the provided text.
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