Emilio BarucciProfessor at Polytechnic University of Milan
Full Professor of Financial Mathematics, Department of Mathematics, Politecnico di Milano. He is author of more than seventy scientific articles on topics such as asset management, banking, risk management, financial regulation. He is the author (together with Claudio Fontana) of Financial Markets Theory, Springer&Finance and of Who will rescue finance?, Bocconi University Press. He acts as independent director of financial companies.