FABIO GOBBI is a post-doctoral researcher at the University of Bologna. He has a PhD in Statistics from the University of Florence and his areas of research focus on probability and financial econometrics. This is his first book.
SABRINA MULINACCI is Associate Professor of Mathematical Methods for Economics and Finance at the University of Bologna, Italy. Prior to this Sabrina was Associate Professor of Mathematical Methods for Economics and Actuarial Sciences at the Catholic University of Milan. She has a PhD in Mathematics from the University of Pisa and has published a number of research papers in international journals on probability and mathematical finance. She is co-author of Fourier Transform Methods in Finance, John Wiley & Sons, Ltd, 2009.
SILVIA ROMAGNOLI is Assistant Professor of Mathematical Models for Economics and Actuarial and Financial Sciences at the University of Bologna. Her scientific research is mainly addressed to the applications of stochastic models to finance and insurance. She has published several research papers in international journals on mathematical finance.
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