Ph.D., Economics and Finance, University of Verona, Italy
M.A., Economics and Finance, University of Venice, Italy
B.A., Banking, University of Siena, Italy
Angelo joined AUD in Fall 2015 as Associate Professor of Finance prior to which he had been teaching Finance at all levels in several European countries, and Turkey, in the last 9 years. His field of expertise is Financial Risk Management, with a focus on Credit Risk.
Angelo’s research topics span from Quantitative Risk Management, to Term Structure Analysis, and Valuation and Risk of Financial Derivatives. The main focus of his teaching in the past years has been on Corporate Finance with a deep knowledge of Corporate Valuation mechanisms.
Angelo has also attested experience in curriculum development, course design and assessment techniques. His textbook “Understanding Financial Risk Management” is published by Routledge since 2014, being included in the prestigious “Routledge Advanced Texts in Finance and Economics” textbooks series.
During his spare time Angelo enjoys latin dance (salsa and bachata) and billiard.