Curriculum Vitae - Dipartimento Scienze Economiche
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Curriculum Vitae - Dipartimento Scienze Economiche
Mayank Gupta Dipartimento di Scienze Economiche, Facolta di Economia University Degli Studi di Verona Vicolo Campofiore 2,Verona 37129 ITALY Mobile: +39.3888.254.761 (Italy), +45.52605954 (Denmark) E-mail: [email protected] 1. Education September 2011-Present: PhD student in “Economics & Finance” program jointly organized by University of Venice Ca’ Foscari, University of Padova & University of Verona Italy. Completed all the required courses for the PhD. program URL: http://www.dse.univr.it/?ent=persona&id=8687&lang=en Research Topic: Analyzing the efficiency of frontier emerging markets. Thesis Supervisor: Prof. Monica Billio University of Venice Ca’ Foscari Italy Email: [email protected] Prof. Massimiliano Caporin Department of Economics Marco Fanno University of Padova Italy Email: [email protected] 01 September- 31 December 2013: Visiting PhD. Scholar at CREATES Aarhus University, Denmark host professor Dr. Charlotte Christiansen www.creates.au.dk April-July 2010: Completed certificate program in “Capital & Financial Markets” organized by Indian Institute of Foreign Trade (IIFT) New Delhi India Established in (1963) under the Ministry of Commerce & Industry of Government of India http://www.iift.edu CGPA 3.8/4.0 and GRE 680 (Quantitative Section) Subjects: Macro & Micro Economic Analysis, Financial Markets and Institutions, Equity Market Analysis, Bond Market Analysis, Financial Derivatives, Foreign Exchange Market Analysis, October 2007-June 2009: Completed MSc. Strategic Project Management (European) program, jointly organized by Heriot-Watt University UK, MIP-Politecnico di Milano, Milan ITALY, and Umeå School of Business & Economics, Umeå University SWEDEN. www.mspme.org Specialization: Business Strategy, Corporate Finance, Portfolio & Risk Management, Derivatives, Financial Accounting, Business Statistics. Grades: Passed in 1st class, with distinction in Finance, Management Accounting and Decision Making and Quantitative Methods (Time Series & Regression analysis, Probability and Linear Programming). 1 2. Summer Schools July 2013: Attended 5 day workshop on “Quantitative Methods in Risk Management”, by Prof. Freidrich Hubalek VUT, Austria July 2012: Attended 5 day workshop on “Credit Risk and Derivatives”, conducted by Prof. Stephen Schaefer & Andrea Berardi, organized by University of Verona in Alba di Canazei. July 2012: Attended 5 day workshop on “Application of Matlab”, conducted by Prof. Ulrich Voitek ETH Zurich, in lecce. 3. Conferences Attended 18-21 December 2011: Attended pre-conference tutorial and three day “India Finance Conference”, at Indian Institute of Management (IIM) Calcutta India. 8-9 November 2012: Attended Swissquote conference on “Systemic Risk & Liquidity”, organized by Ecole Polytechnique Federale de Lausanne (EPFL) http://sfi.epfl.ch/swissquote-conference 25 October 2012: Attended Geneva Finance Reseach Institute conference on “Liquidity and Arbitrage Trading”. http://www.gfri.ch/knowledge-transfer/conferences-1.html 09-12 January 2011: Attended pre-conference tutorial and three day “International Finance Conference”, at Indian Institute of Management (IIM) Calcutta India http://financelab.iimcal.ac.in/ifc/index.htm 02 December 2010: Attended Lala Lakshmipat Singhania centennial lecture on “Global Outlook: India’s Era of Opportunities and Risks”, delivered by Prof. Nouriel Roubini Stern School of Business New York University USA. 24-25 June 2010: Attended two day All India Conference on “International Commodity & Risk Management”, at Indian Institute of Foreign Trade (IIFT) New Delhi India www.iift.edu In 2009 attended Robert A. Muh alumni lecture at Massachusetts Institute of Technology (MIT) USA given by Prof. Robert C. Merton John and Natty McArthur University Professor Harvard University USA, on “Observations on the science of finance, in the practice of finance”. Received faculty nomination to attend guest lectures in 2008 at London School of Economics (LSE) given by 1. Prof. Jiang Wang Mizuho Financial Group at Sloan School of Management Massachusetts Institute of Technology (MIT) USA, on “Liquidity, Asset Prices and Market Efficiency”. 2. Prof. Paul Krugman Princeton University USA on “Globalization & Welfare”. 3. Prof. Tomas Sjögren Faculty of Economics at Umeå School of Business & Economics SWEDEN in 2008 on “The current sub-prime crisis”. Authored book titled “The Promise and Perils of Real Options Valuation technique”, published by 2 LAP publishing AG Germany. The book can be assessed by the below mentioned weblink. URL: http://www.amazon.co.uk/Promises-Perils-Options-Valuation-Technique/dp/3844310037 Master Thesis titled “What are the different obstacles involved with the implementation of Real Options Valuation technique? A case study conducted in company X in Sweden”, under Prof. Dr. Ralf Müller, Umeå School of Business & Economics SWEDEN. AstraZeneca Plc. Gotteborg Sweden sponsored the master thesis. URL: http://urn.kb.se/resolve?urn=urn:nbn:se:umu:diva-23095 2nd runner-up in the KPMG Business Case Competition organized at USBE, Umeå School of Business & Economics Umeå SWEDEN. On 16th October 2008. September-December 2006: Postgraduate course “Law & Business in Europe” organized by University Institute of European Studies, Turin Italy, University of Fribourg Switzerland and European Policy Center, Brussels Belgium. Received fellowship from Compagnia di San Paolo. http://lbeurope.iuse.it Grade B+ Term paper on “The Economic Aspects of Competition”. 2004-2006: Master of Business Administration (2 year full-time), MBA Result- 1st Class. The Indian Institute of Planning & Management, New Delhi India www.iipm.edu 2001–2004: Bachelor of Business Administration (3 year full-time), Grade 1 Charan Singh University, Meerut India st Class. Chaudhary 3. IT skills Proficient in MATLAB, MS-EXCEL and Microsoft Office. 4. Interests Active member of the Italian Embassy Cultural Center, New Delhi INDIA. Enjoy listening music and watching soccer. Interested in reading about leading economists/central bankers, recently completed Dr. Alan Greenspan memoir “The Age of Turbulence”, and “On the brink”, by Hank Paulson. 5. Languages English, Italian, Hindi 6. References 1. Dr. Satinder Bhatia Chairperson-Graduate Studies Indian Institute of Foreign Trade (IIFT) www.iift.edu IIFT Bhawan, B-21 Qutab Institutional Area New Delhi – INDIA Tel. +91.11.2696.5124/5051 Email: [email protected] 2. Dr. Philippe Gugler Faculty of Economics and Social Sciences University of Fribourg www.unifr.ch Bd Pérolles 90 CH - 1700 Fribourg - Switzerland Tel. +41.26.300.8226 Email: [email protected] 3 3. Dr. Rocco Mosconi Dipartimento di Ingegneria Gestionale Politecnico di Milano www.mip.polimi.it Piazza L. da Vinci 32, 20133 Milano - Italy Phone : +39.02.2399.2747 Email: [email protected] 4. Prof. Marco Giorgino Ordinario di Finanza Aziendale Politecnico di Milano e MIP, School of Management www.mip.polimi.it Via Lambruschini 4/b - 20156 Milano - Italy Tel. +39.02.2399.2759 (dir) +39.02.2399.2774 (segr) Email: [email protected] 5. Dr. Per Liljenberg Business Performance Director AstraZeneca R&D Mölndal SE-431 83 Mölndal Sweden Email: [email protected] 6. Dr. Tomas Sjogren Associate Professor, Department of Economics Umeå School of Business & Economics, http://www.econ.umu.se/ Umeå University - Sweden Email: [email protected] 4