معرفی
Marco Bonomelli is a Researcher at the Department of Management, University of Bergamo. He holds a PhD and Master's Degree in Management, Finance, and International Business from the same university.
- Key research areas: Quantitative Finance, Portfolio Management, Sustainable Investments, Rating Disagreement
- Professional experience: Worked at a leading risk management consultancy firm focusing on climate risk and market abuse detection models
His research has been published in high-impact journals like Annals of Operations Research, with a focus on stochastic volatility portfolio selection models and financial risk modeling.
Current academic role: Teaching Financial Mathematics (87029) and Business Economics (87-270) at the University of Bergamo.
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