Francesco Menoncin is full professor of Economic Policy at University of Brescia (M.A. and Ph.D. in Economics, Université Cahtolique de Louvain and Ph.D. in Economics, Università degli Studi di Pavia). He spent some teaching periods at EM-Lyon Business School (France) and universities of Genoa and Pisa (Italy). He is interested in financial markets and derivatives, with a particular focus on optimal portfolio allocation in continuous time. Some of his works are about the longevity risk management for both households and institutional investors like pension funds. Another stream of research is about fiscal evasion.
Personal website: https://sites.google.com/view/francesco-menoncin