BOIDO CLAUDIO

Office hours
Tuesday 9.30-11 or you can send me an email to boido@unisi.it
Curriculum Vitae
Teaching activities
Completion accademic year: 2024/2025
Course year: 2
Second cycle degree (Laurea Magistrale)
ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTIONS
A.Y. 2023/2024
Completion accademic year: 2023/2024
Course year: 2
Second cycle degree (Laurea Magistrale)
ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTIONS
A.Y. 2022/2023
Completion accademic year: 2022/2023
Course year: 2
Second cycle degree (Laurea Magistrale)
ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTIONS
A.Y. 2021/2022
Completion accademic year: 2021/2022
Course year: 2
Second cycle degree (Laurea Magistrale)
ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTIONS
A.Y. 2020/2021
Completion accademic year: 2020/2021
Course year: 2
Second cycle degree (Laurea Magistrale)
ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTIONS
A.Y. 2019/2020
Research
Boido Aliano (2025) The contribution of cryptocurrencies in diversification portfolios. Investment Management and Financial Innovations. This article has been accepted for publication, and will be published in issue 1,
Ultime pubblicazioni:
- Boido, C., Aliano, M., Galloppo., G. (2023). Top-flight European football teams and stock returns: market reactions to sporting events. JOURNAL OF ECONOMICS AND FINANCE, 47(4), 1041-1061 [10.1007/s12197-023-09643-w]. - view more
- Boido, C., Aliano, M. (2023). Digital Art and Non-Fungible-Token: bubble or revolution?. FINANCE RESEARCH LETTERS, 52, 1-10 [10.1016/j.frl.2022.103380]. - view more
- Aliano, M., Boido, C., Galloppo, G. (2023). The Impact of the Financial and the Health Crisis on Listed Hotel Stocks. JOURNAL OF FINANCE AND INVESTMENT ANALYSIS, 12(2), 29-46 [10.47260/jfia/1223]. - view more
- Boido, C., Fasano, A. (2023). Mean-variance investing with factor tilting. RISK MANAGEMENT, 25(2), 1-24 [10.1057/s41283-022-00113-x]. - view more
- Boido, C., Ceccherini, P., D'Imperio, A. (2022). ESG scores - Is it the new way to build a European portfolio?. JOURNAL OF FINANCE AND INVESTMENT ANALYSIS, 11(3), 1-21 [10.47260/jfia/1131]. - view more