Marco Tolotti Curriculum Vitae
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1 Marco Tolotti Curriculum Vitae January 2012 Personal Data date of birth: 18.th of March 1978 civil status: married, two children nationality: Italian position: Assistant Professor (Ricercatore) affiliation: Department of Management Università Ca Foscari Venezia Cannaregio , Venice, Italy e- mail : tolotti@unive.it phone: website: tolotti fax: scientific-disciplinary sector (Italian university system): SECS-S/06 Metodi matematici dell economia e delle scienze attuariali e finanziarie Member of the Research Center IOS (Innovation, Organization and Strategy), Ca Foscari University, since April Member of the Erasmus Committee of the Department of Management, since July Member of the University committee Ranking project. This group is in charge to analyze the national and international rankings for the university system, since January Member of the AMASES Society (Italian Association of Mathematics Applied to Economic and Social Sciences), since Former academic positions Department of Applied Mathematics, Università Ca Foscari Venezia (December December 2010) Department of Finance, Bocconi University, Milano. Postdoctoral position. (March November 2008) 1
2 Scholarships March November 2008: Postdoctoral position, Department of Finance, Bocconi University, Milano. January February 2006: Research Project Application of models from the Statistical Mechanics to the study of the contagious default in Finance, Department of Pure and Applied Mathematics, University of Padova. January December 2005: Ph.D. Scholarship, Scuola Normale Superiore, Pisa, Italy. Graduate Studies Ph.D. in Applied Mathematics to Finance and Insurance, Scuola Normale Superiore, Pisa, July 2008 Ph.D.Thesis: The impact of contagion on large portfolios. Modeling aspects, supervisors Paolo Dai Pra and Wolfgang Runggaldier. Master of Advanced Studies in Finance, ETH Zurich and University of Zurich, February 2005 Master Thesis: Credit Risk under incomplete accounting information: A discretized approach under filtering language, supervisor Philipp Schönbucher. Undergraduate Studies Laurea in Matematica, University of Padova, March 2002 Laurea Thesis in Mathematical Finance: Pathwise Optimality for Benchmark Tracking, supervisor Wolfgang Runggaldier. Research visits One week visit to the School of Engineering and Applied Science, Columbia University (New York), November Research interests Large deviations and limit theorems with applications to economics and finance. Contagion models with applications to credit risk. Dynamics of conformism attitudes in random utility models with social interactions. Price formation in market games with many interacting and boundedly rational agents. 2
3 Refereeing for Journal of Banking and Finance; Journal of Economic Interaction and Coordination; Mathematical Finance; Stochastic Systems Refereed Publications 1. Identity, reputation and social interaction with an application to sequential voting joint work with E.Barucci, Accepted for publication on the Journal of Economic Interaction and Coordination, Heterogeneous credit portfolios and the dynamics of the aggregate losses, joint with P.Dai Pra, Stochastic Processes and their Applications, Volume 119, Issue 9, , Large portfolio losses: A dynamic contagion model joint work with P.Dai Pra, W.Runggaldier, E.Sartori, The Annals of Applied Probability, Vol. 19, No. 1, , Risk Tolerance Levels for Insurance Companies joint with A. Battauz, M. De Donno, A. Sbuelz, forthcoming on the Giornale dell Istituto Italiano degli Attuari. 5. Pathwise Optimality for Benchmark Tracking jointly written with W. Runggaldier and P. Dai Pra, IEEE Transactions on AC, vol. 49 No.3 (Special Issue on Stochastic Control Methods in Financial Engineering), pp , Working Papers and other publications 1. Endogenous equilibria in liquid markets with frictions and boundedly rational agents joint work with P.Dai Pra, F.Fontini and E. Sartori, Working Paper Series 07/2011, Department of Management, Università Ca Foscari Venezia, Identity, reputation and social interaction with an application to sequential voting joint work with E.Barucci, Working Papers 204/2010, Department of Applied Mathematics, Università Ca Foscari Venezia, Social Interaction and Conformism Evolution in a Random Utility Model joint work with E.Barucci, Under Review. 4. The dynamics of social interaction with agents heterogeneity joint work with E.Barucci, Working Papers 189/2009, Department of Applied Mathematics, University of Venice, Social interactions and heterogeneous agent models. Applications to economics and finance, in Seminario Dottorato 2008/09, Department of Pure and Applied Mathematics, university of Padova, ,
4 6. The impact of contagion on large portfolios. Modeling aspects (Ph.D. Thesis), Scuola Normale Superiore, Pisa, June Credit Risk under incomplete accounting information: A discretized approach in filtering language (Master Thesis), ETH Zurich, February Credit Risk under incomplete accounting information: A discrete time model and its asymptotic behaviour joint with P.Schönbucher, working paper, September Presentations at refereed conferences 16th Workshop on Economics & Heterogeneous Interacting Agents, Ancona, June Price formation in mean field games under market frictions and social interactions. Workshop on Quantitative Finance, Padova, January Price formation in mean field games under market frictions and social interactions. Mini-Symposium on Topics on Dependence Models and Multivariate Risk, Rome, June 2010 (Invited speaker). Direct contagion in large portfolios. Modeling aspects. 11th Workshop on Optimal Control, Dynamic Games and Nonlinear Dynamics, Amsterdam, June Microfoundation of conformism in a reduced form model for social interactions Society for Nonlinear Dynamics and Econometrics 18th Annual Symposium, Novara, April Microfoundation of conformism in a reduced form model for social interactions XXXIII Convegno AMASES 2009, Parma, September The dynamics of social interactions with agent s heterogeneity X Workshop on Quantitative Finance, Politecnico di Milano, Milano, January, Heterogeneous credit portfolios and the dynamics of the aggregate losses XXXII Convegno AMASES, Trento, September Heterogeneous credit portfolios and the dynamics of the aggregate losses Bachelier Finance Society Fifth World Congress, London, July Heterogeneous credit portfolios and the dynamics of the aggregate losses Credit Risk Models for Financial Markets and Banking, Rimini, October 2007 (Invited speaker). XXXI Convegno AMASES, Lecce, September
5 Stochastic processes: Theory and Applications. On occasion of the 65th birthday of Wolfgang Runggaldier, Brixen July 2007 (Invited speaker). VIII Workshop on Quantitative Finance, Venice, January Credit risk tutorial, C.R.E.D.I.T. conference 2006, Venice, September Risk Management: From Basel II to Basel III, Ascona (Switzerland), March XXIX Convegno AMASES, Palermo, September Credit Risk under incomplete accounting information: A discrete time model and its asymptotic behaviour Invited talks Department of Decision Sciences, Bocconi University, Milano, 8 February (forthcoming) Endogenous equilibria in liquid markets with frictions and boundedly rational agents. Dipartimento di Matematica Pura e Applicata, University of Padova, 7 June Price formation in mean field games under market frictions and social interactions. Dipartimento di Scienze Economiche e Dipartimento di Matematica per le Decisioni, University of Florence, 27 May Direct Contagion in Large Portfolios. Modeling aspects. Officina di Tesi Triennale, University Ca Foscari Venice, 29 March Crisi finanziaria 2007/09. Perché i matematici siedono sul banco degli imputati? Department of Decision Sciences, Bocconi University, 26 February Microfundation of conformism in a reduced form model for social interaction Department of Pure and Applied Mathematics, University of Padova, 03 June Social Interactions and heterogeneous agents. Applications to Economics and Finance Department of Computer Sciences, University of Verona, Verona, 26 January Contagion models and applications to Finance and Social Sciences School of Engineering and Applied Science, Columbia University (New York), 05 November The impact of contagion on large portfolios. Modeling aspects Scuola Normale Superiore, Pisa, 21 July The impact of contagion on large portfolios. Modeling aspects 5
6 Dipartimento di matematica F. Brioschi, Politecnico di Milano, 10 June Applications of Large Deviations to Finance: the problem of credit contagion Economic Sciences and Quantitative Methods Department, Università del Piemonte Orientale, 15 May The impact of contagion on large portfolios. Modeling aspects Mathematical Economics and Quantitative Finance Seminars, Bocconi University Milan, February Dipartimento di matematica Guido Castelnuovo, Università La Sapienza, Rome, 30 January Colloquium Talks, ETH Zürich, February Credit Risk under incomplete accounting information: A discretized approach in filtering language Teaching experiences (E): The courses marked with (E) have been taught in English Ph.D. courses and International Master Programs (Dottorato e Master II livello) A.Y. 2011/2012: Mathematics (Preparatory Course) (E), Graduate School of Economics and Management (GSEM), Ca Foscari Venice and Padova. A.Y. 2011/2012: Mathematics (E), International Master in Economics and Finance (IMEF), University of Venice. A.Y. 2010/2011: Mathematics (Preparatory Course) (E), Advanced School of Economics in Venice (SSE), University of Venice. A.Y. 2010/2011: Mathematics (E), International Master in Economics and Finance (IMEF), University of Venice. A.Y. 2009/2010: Mathematics (E), International Master in Economics and Finance (IMEF), University of Venice. A.Y. 2008/2009: Mathematical models for Finance (E), Master of Quant.Finance and Risk Manag. (MAFINRISK), Bocconi University, Milan. Master programs (Laurea magistrale) A.Y. 2011/2012: Tecnica delle Assicurazioni, Master (Laurea magistrale) in Economia e Finanza, University of Venice. 6
7 A.Y. 2010/2011: Tecnica delle Assicurazioni, Master (Laurea magistrale) in Economia e Finanza, University of Venice. A.Y. 2009/2010: Tecnica delle Assicurazioni, Master (Laurea magistrale) in Economia e Finanza, University of Venice. A.Y. 2007/2008: Modelli quantitativi per la finanza, Master in Finance, Bocconi University, Milan. Undergraduate programs (Laurea triennale) A.Y. 2011/2012: Additional learning requirements in mathematics (ALR) (E), Laurea triennale (Economics and Management), University of Venice. A.Y. 2009/2010: Matematica: Obblighi formativi aggiuntivi (OFA), Laurea triennale (Economia Aziendale - Economia e Commercio - Economia e Gestione dei Servizi Turistici), University of Venice. A.Y. 2008/2009: Mathematics II (E), Degree in Economics and Management, University of Venice. Teaching assistant A.Y. 2010/2011: Esercitazioni di Matematica, University of Venice. A.Y. 2009/2010: Esercitazioni di Matematica, University of Venice. A.Y. 2008/2009: Quantitative Finance (E), Bocconi University, Milan. A.Y. 2006/2007: Mathematical Finance (E), Bocconi University, Milan. A.Y. 2006/2007: Matematica finanziaria, Bocconi University Milan. A.Y. 2005/2006: Quantitative methods for finance (E), Bocconi University, Milan. Tutoring of Postdoctoral students March February 2012: Elena Sartori, Probabilistic techniques for decision sciences. Supervision of Master Thesis Un approccio data envelopment analysis per la misurazione della performance di fondi pensione (Joint supervision with Antonella Basso), Laurea Magistrale in Economia e Finanza, June
8 Le nuove sfide del sistema universitario: classifiche, indicatori di qualit, programmi di valutazione. Stato dellarte e possibili scenari futuri Laurea Magistrale in Economia e Gestione delle Aziende, March Prodotti assicurativi ad alto contenuto finanziario: analisi degli aspetti tecnici e valutazione delle garanzie offerte dalle variable annuities Laurea Magistrale in Economia e Finanza, November Implications of VaR Matket Risk Regulation on Returns, Prices and Volatility QEM Erasmus Mundus, (Joint supervision with Loriana Pelizzon), July Schools, conferences, workshops 16th Wks. on Economics & Heterogeneous Interacting Agents, Ancona, June th Workshop on Quantitative Finance, Padova, January Autumn School 2010: Mathematical Methods in Risk Management and Finance, LMU, Munich (Germany), October C.R.E.D.I.T. Conference 2010, Credit Risk, Systemic Risk, and Large Portfolios, Venice, 30 September - 1 October Workshop in honor of Maurizio Pratelli A long life in Probability, Bologna, 9 October Mini-Symposium on Topics on Dependence Models and Multivariate Risk, Rome, 7-8 June th Workshop on Optimal Control, Dynamic Games and Nonlinear Dynamics, Amsterdam, 31 May - 2 June Programma Persone, Settimo Programma Quadro di Ricerca e Sviluppo Tecnologico dell Unione Europea, 13 April Society for Nonlinear Dynamics and Econometrics 18th Annual Symposium, Novara, 1-2 April Mediterranean info day on Socio-Economic Sciences and Humanities Launch of the 2010 Call Science socio-economic sciences and Humanities, Venice, October XXXIII Convegno AMASES 2009, Parma, 2-4 September X Workshop on Quantitative Finance, Politecnico di Milano, Milano, January Lessons from the Subprime Market Implosion and its Consequences, International Association of Financial Engineers, New York, November XXXII Convegno AMASES, Trento, September
9 Bachelier Finance Society World Congress, London, July Workshop: Credit Risk Models for Financial Markets and Banking, Rimini, 9-10 October 2007 XXXI Convegno AMASES, Lecce, September Stochastic processes: Theory and Applications. On occasion of the 65th birthday of Wolfgang Runggaldier, Brixen July 2007 VIII Workshop on Quantitative Finance, Venice, January 2007 C.R.E.D.I.T. Conference 2006, Small Business Lending, Venice, September Summer School: Risk Measurement and Optimal Investment, Munich (Germany), June, IV Infiniti Conference on International Finance, Dublin, June, Workshop: Hydrodynamic limits and Particle Systems, Pisa, 5-9 June, Risk Management: From Basel II to Basel III, Ascona, (Switzerland) February 26 - March 3, 2006 Risk Day 2005, Zurich 15 October Stochastic methods in Mathematical Finance, Rome, September XXIX Convegno AMASES 2005, Palermo, September Scuola Spring School in Finance 2005, Bologna, May Workshop Stochastic Analysis and Applications in Finance, Leipzig (Germany) April Risk Day 2004, Zurich 15 October C.R.E.D.I.T. Conference 2004, Validation of Credit Risk Models, Venice 30 September- 1 October Cattedra Galileiana 2004 Prof. N. El Karoui (Ecole Polythecnique, Palaiseau Francia) Lectures on Optimal Stopping problems and Non-linear Representations ; Prof. D. Kramkov (Carnegie Mellon University, Pittsburg) Utility based valuation in incomplete markets, Pisa September Risk Day 2003, Zurich 17 October Summer school CIME / EMS Course Stochastic Methods in Finance, Brixen 6-13 July Cattedra Galileiana 2003 Prof. H. M. Soner (Koc University, Istanbul, Turkey ) Stochastic Optimal Control Methods in Finance, Pisa April -May
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