Massimiliano Barbi is an Associate Professor of Finance at the Department of Management, University of Bologna. He received a BA in Financial Economics from University of Bologna in 2003, a master in Finance (2005) also from the University of Bologna, and a PhD in Banking and Finance from the Catholic University of Milan, with a dissertation on equity warrant pricing. He was visiting PhD candidate at the Birkbeck University of London (2006-2007), and Associate Lecturer of Risk Management at the Leeds University Business School (2010). His research has been published in highly regarded finance journals such as the Journal of Banking and Finance, the European Journal of Finance, Quantitative Finance, and the Journal of Futures Markets. His research interests are in the fields of corporate finance, risk management and derivatives, corporate valuation and governance, and household finance. He has been teaching several introductory and intermediate corporate finance, corporate valuation, and risk management courses. He also has experience in graduate, MBA, and PhD-level courses on the same topics.
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