Davide Maspero
at SDA Bocconi School of Management
Schools
- SDA Bocconi School of Management
Links
Biography
SDA Bocconi School of Management
Curriculum Vitae
SDA Professor
Degree in Economics, Bocconi University, Milano, 1987
Official Miem Professor (Specialized MBA in International Economics and Management), 1991-2007
Academic position and/or Professional activities
Associate Professor of Financial Markets and Institutions, Bocconi University, Milan
Research Interests
- Asset management
- Risk management
- Pricing derivatives
Publications
Books
- D. Maspero “L’attività bancaria in derivati. Rischi e informazione integrativa di bilancio”, Bancaria Editrice, 2000
- D. Maspero, C. Rossignoli, (a cura di ): “Le applicazioni dell’intelligenza artificiale negli intermediari finanziari”, Bancaria Editrice, 2000
- L''attività bancaria in derivati. Rischi e informazione integrative di bilancio, 1997
- Le crisi bancarie in Finlandia, in R.Ruozi (a cura di), "Le crisi bancarie, Egea, Milano, 1995
- L''uso degli strumenti derivati nella gestione del rischio di cambio in un portafoglio diversificato per valuta, in E.Carluccio (a cura di) "Gli strumenti derivati e le tecniche innovative nella gestione di portafogli obbligazionari", Newfin Ricerche, Università Bocconi, n.54, Milano, 1995
- Contabilità a valori di mercato e crisi bancarie, in R.Ruozi (a cura di), "Le crisi bancarie, Egea, Milano, 1995
- Vigilanza bancaria e rischi di mercato, in Lettera Newfin, n.1-2-3, Università Bocconi, Milano, 1994
- Il processo di concentrazione bancaria in Svezia, in R.Ruozi (a cura di), Le concentrazioni bancarie", Egea, Milano, 1992
- Il sistema Monetario Europeo, in C.Dematté-P-de Sury (a cura di), "I mercati finanziari internazionali", Egea, Milano, 1992
- Investimenti internazionali, movimenti di capitale e processi decisionali degli operatori, in C.Dematté-P-de Sury (a cura di), "I mercati finanziari internazionali", Egea, Milano, 1992
- La Cassa di Risparmio di Piacenza e Vigevano, in R.Ruozi (a cura di), Le concentrazioni bancarie", Egea, Milano, 1992
- Il Regno Unito, (con P.de Sury), in G.Vaciago (a cura di), "Manuale per il 1993 e oltre - Le strutture creditizie", Edibank, 1991
- Gli strumenti di copertura del rischio di cambio, in "L''impresa Banca", Marzo 1991
Articles
- D. Maspero, F. Saita, “Risk management for asset managers: a test of Relative VaR”, Journal of Asset management, Feb. 2005
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