Sara Biagini is Associate Professor. Her research interests lie at the intersection of stochastic analysis and mathematical finance, with applications to risk measures, optimal asset allocation and climate finance. She is managing editor of International Journal of Theoretical and Applied Finance and associated editor for Mathematical Finance and Review of Derivatives Research. Sara holds a PhD in Applied Mathematics from Scuola Normale Superiore. Prior experience includes visiting positions at Columbia, Princeton, LSE and Paris-Dauphine.
Contacts
E-mail: sbiagini@luiss.it