Massimo Morini
About the Author
Massimo Morini is a renowned expert in financial engineering and risk management, with over two decades of experience in quantitative finance, derivatives pricing, and model validation. Holding a PhD in mathematics from the University of Bologna, he has held senior positions at leading institutions such as Banca IMI and Intesa Sanpaolo, where he developed innovative frameworks for assessing and mitigating model risks in complex trading environments. Morini's work bridges theoretical rigor with practical application, offering invaluable insights for professionals navigating the uncertainties of modern financial markets. His contributions extend to academia and industry conferences, where he is frequently invited to speak on the evolving challenges of quantitative modeling in a post-crisis world.
Books by Massimo Morini
