Massimo Guidolin

Massimo GuidolinMassimo Guidolin is a full professor in the Department of Finance at Bocconi University. He earned a Ph.D. from University of California, San Diego in 2000. He has worked at the University of Virginia as an assistant professor in financial economics,the Federal Reserve Bank of St. Louis at first as a senior economist and then as an Assistant Vice-President (Financial Markets), and the Accounting and Finance department of Manchester Business School as a chaired full professor in Finance. His teaching has spanned corporate finance, asset pricing theory, empirical finance, derivative pricing, and of course, econometrics both the undergraduate and graduate (MSc. and doctoral) levels. He has published in top economics, econometrics, and finance outlets such as the American Economic Review, Journal of Financial Economics, Journal of Econometrics, Review of Financial Studies, and Economic Journal. He serves on the editorial board of a number of journals, among them Journal of Economic Dynamics and Control, International Journal of Forecasting, and Journal of Banking and Finance. Read More Read Less

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Transmission Channels of Financial Shocks to Stock, Bond, and Asset-Backed Markets37 %
Publisher: Palgrave MacMillan
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Release:
12 Nov 2015
Language:
English
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Essentials of Applied Portfolio Management40 %
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01 Sep 2017
Language:
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Transmission Channels of Financial Shocks to Stock, Bond, and Asset-Backed Markets13 % NR
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