Marco Corazza
Member of the Technical and Scientific Committee at Università Ca' Foscari Venezia
Based in Venice, Italy
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Location
Venice
Industry
Higher Education
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3K
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Background
About Marco Corazza
Marco Corazza, PhD in "Mathematics for the Analysis of Financial Markets", is Associate professor at the Department of Economics of the Ca' Foscari University of Venice. Among his main research interests are: Static and dynamic portfolio management theories; Trading system models; Machine learning applications in finance; Bio-inspired metaheuristics for optimization; Multi-criteria methods for economic decision support; Non standard probability distributions in finance; Port scheduling models and algorithms. He has participated and participates in several research projects, both at national and international level. He is author/coauthor of about one hundred and thirty scientific publications; some of them have received national and international awards. He is also editor-in-chief of the international scientific journal “Mathematical Methods in Economics and Finance”, editor of Springer books, and has been and is member of the scientific committees of several conferences and of some private companies. His combines the academic activity with consulting services.
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