Paolo is Professor in Financial Econometrics at the Finance Department of Imperial College Business School. He has a degree in Economics and Statistics (110/110 Lode) from Sapienza University of Rome, an MSc in Econometrics and Mathematical Economics (Ely Devons Prize for Top Distinction) from the LSE, and a PhD in Econometrics from the LSE. He is also teaching at the University of Rome La Sapienza, and has previously taught at the LSE (Finance Department), and at the University of Cambridge (Faculty of Economics). Paolo acts as a quantitative consultant in asset and risk management and as an instructor of executive courses for various financial institutions.
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