Umberto Cherubini

Professor of Financial Mathematics, University of Bologna

Umberto Cherubini is Professor of Financial Mathematics at the University of Bologna, where he is currently in charge of the International Graduate Program in Quantitative Finance. He has also run risk management programs for professionals at the Italian Banking Association, and has lectured extensively on derivatives and risk management issues, with particular focus on correlation. He has published in international journal in mathematical finance and is co-author of three books published by John Wiley Finance Series.

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