Marco Micocci

Marco Micocci

Full Professor of Financial Mathematics and Actuarial Science, University of Cagliari, Italy.

He has a degree in Economics, a degree in Banking, Financial and Insurance Science and a degree in Actuarial Statistics.

Academic background:

  • 1996-2001 - He was Researcher of Financial and Actuarial Mathematics, University of Rome "La Sapienza".
  • Since 2001 - He is a Full Professor of Financial Mathematics and Actuarial Science, University of Cagliari.
  • He also works for the University of Rome LUISS Guido Carli.
  • He is a member of the Italian Institute of Actuaries (IIA), the Association for Studies in Financial, Economics and Actuarial Mathematics (AMASES), AFIR and ASTIN.
  • He is a Scientific Director of the Research Centre of ADEPP (the Italian Association of the Private First Pillar Pension Schemes).

Research activity:

  • Financial and Actuarial Risk Management of Pension Funds and Insurance Companies.
  • Quantitative Finance.
  • Social Security and Health Funds.

Professional interests:

  • Technical Balance Sheets of Pension Funds.
  • Asset and Liability Management of Insurance Companies and Pension Funds.
  • International Accounting Standards Concerning Financial and Actuarial Items.

He is the author of about 90 publications (papers, scientific and technical articles, chapters of books, books).

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