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Books By Umberto Cherubini, Fabio Gobbi, Sabrina Mulinacci - Author

Umberto Cherubini is Associate professor of Financial Mathematics at the University of Bologna, where he heads the graduate program in Quantitative Finance. He is fellow of the Financial Econometrics Research Center (FERC), a member of the Scientific Committees of Abiformazione - the professional education arm of the Italian Banking Association, and AIFIRM - the Italian Association of Financial Risk Managers. He has been consulting and teaching in the field of finance and risk management for almost twenty years. Before joining academia he worked as an economist at the Economic Research Department of BCI Milan. He has published papers on finance and economics in international journals, and is a co-author of seven books on topics of risk management and financial mathematics, with special focus on the copula function technique.    

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 area of research focu