Dr. Massimo Morini

Instructor

Build a Statement of Purpose

Generate a tailored SOP for Dr. Massimo Morini. Improve your application with a focused, well-structured draft.

Biography

Massimo Morini holds a PhD in Mathematics and has published several quantitative papers and seminal books on financial modeling, particularly focusing on model risk management and credit risk collateral. He is currently a lecturer at the Università della Svizzera italiana and has extensive experience in the financial sector, serving as a coordinator in model research at Banca IMI, the investment bank of Intesa Sanpaolo, Italy's largest banking group. Morini is also a consultant for World Bank institutions and is a recognized member of scientific boards, such as Numerix in New York City. He has distinguished experience as an MSc director at Bocconi University and as a research fellow at Cass Business School, City University of London. His research interests include blockchain technology, which he began exploring in 2013, especially its application in financial markets through smart contracts and collateralized derivatives on the Ethereum platform. Morini has frequently contributed to major events and publications, presenting his insights on the intersection of finance and technology to various stakeholders in the industry.

Research Interests

Experience

Lecturer

— Present

Università della Svizzera italiana • Lugano, Switzerland

Requirements for Università della Svizzera italiana

Master Program
Requirements
IELTS
Overall
Required:6.5
TOEFL
Total
Required:85
GMAT
Prerequisites
Bachelor's degree in Economics or related disciplines At least 180 ECTS credits
Application Checklist
  • Bachelor's degree diploma
  • Official transcripts
  • Curriculum Vitae
  • Letter of motivation
  • English language certificate
  • GMAT/GRE (Mandatory for non-EU/non-EFTA)
  • Copy of passport/ID
Specialization Notes

Department of Finance - Master in Finance (MFIN).