Roberto Savona

Roberto Savona

Roberto Savona is Associate Professor in Financial Markets and Institutions at the Department of Economics and Management, University of Brescia, Italy. After receiving his Ph.D. in Financial Intermediation from University of Udine - Italy (2002), he was visiting at the Haas School of Business at the University of California, Carroll School of Management at the Boston College, Department of Statistics at the University of California, and European Central Bank. He served as a member of the Board of Directors of the European Financial Management Association (EFMA) 2010-2013, and as a Member of the Steering Committee of Macro-prudential Research Network (MaRs) - European Central Bank 2012-2014. He is Primary Coordinator of European Project “SYRTO - SYstemic Risk TOmography: Signals, Measurements, Transmission Channels, and Policy Interventions” funded under FP7-SSH/2007-2013 program (www.syrtoproject.eu). Hi research interests are focused in asset pricing models, risk management, hedge funds and mutual funds, performance measurement, credit risk, systemic risk and Early Warning System

Affiliations and Expertise

Associate Professor, Financial Markets and Institutions, University of Brescia