Carlo Alberto Fellow
PhD in Economics, Princeton University, 1990
Corporate Finance, Portfolio Choice, Asset Pricing
Professor of Financial Economics, Università di Torino
- "Guarantees, Leverage and Taxes", forthcoming The Review of Financial Studies, with E. Luciano.
- Optimal Life-Cycle portfolios for Heterogeneous Workers, forthcoming Review of Finance (2013), with F. Bagliano and C.Fugazza.
- "Equally Weighted versus Long Run Optimal Portfolios", forthcoming European Financial Management, with C. Fugazza and M. Guidolin.
- Should Insider Trading Be Prohibited when Share Repurchases Are Allowed?, Review of Finance, 12(4), (2008): 735-765, with Andrea Buffa.