
معرفی
Fabio Calonaci is a Visiting Lecturer at the School of Economics and Finance, Queen Mary, University of London, and at King’s College London. He is also a Senior Risk Analyst at a leading Clearing House, combining academic and professional expertise in finance.
Education: Holds a BSc and MSc in Economics from the University of Florence, an MSc in Finance Econometrics, and a PhD in Finance from Queen Mary, University of London.
Research interests focus on portfolio optimization, risk management, macro finance, asset pricing, and financial volatility. His work bridges theoretical and applied aspects of financial markets and risk analysis.
No scientific awards or grants are explicitly listed in the provided information. His academic contributions are reflected through his teaching and industry roles.


