PATANE' MICHELE

Michele
Patane'
Professore Associato

Presentation

Michele Patanè is Professor of Financial Intermediaries Economics, since 2001, in the Department of Business and Law of the University of Siena, where he teaches Financial Markets and Interest Rate Derivatives. He has been and is lecturer on Stock Market and Finance at PhD Schools, in first and second level Master’s Degree for different universities and in credit and financial institutions’ training schools. Michele Patanè is author of several books and articles, on financial topics, at leading national and international publisher. He deals with Financial Education and his main research interests include: a) Configuration and timing of choices that improve company performance in the financial sector; b) Evaluation techniques and pricing of traditional and innovative financial instruments; c) Risk Management and Asset Allocation; d) Macroeconomic news and price discovery dynamics of different financial markets; e) Methods for assessing the role and effects on systemic risk of business models and operative choices of bank companies.

Office hours

  • Thursday from 10:00 to 12:00

Thursdays at 10:00

Curriculum Vitae

Teaching activities

Completion accademic year: 2024/2025

Course year: 3 First cycle degree (DM 270) ECONOMICS AND BANKING A.Y. 2022/2023
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: 3 First cycle degree (DM 270) ECONOMICS AND BANKING A.Y. 2021/2022
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: 3 First cycle degree (DM 270) ECONOMICS AND BANKING A.Y. 2020/2021
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: 3 First cycle degree (DM 270) ECONOMICS AND BANKING A.Y. 2019/2020
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: 3 First cycle degree (DM 270) ECONOMICS AND BANKING A.Y. 2018/2019
Course year: 2 Second cycle degree (Laurea Magistrale) ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTIONS A.Y. 2019/2020

Research

Ultime pubblicazioni:

  • Patanè, M., Ceccherini, P., Anelli, M., D’Imperio, A. (2024). Integrazione Esg e vincoli regolamentari: analisi di impatto sulla gestione di portafogli. BANCARIA(1), 47-59. - view more
  • Patane', M., Anelli, M., Gioia, A. (2023). La gestione dei portafogli finanziari nella dinamica dei tassi: Metodi, strumenti, strategie. Santarcangelo di Romagna : Maggioli Editore. - view more
  • Anelli, M., Patane', M., Zedda, S. (2023). Exploiting the European Volatility Index Features: Anti-Persistence, Skewness, Kurtosis, and the Role of the Hurst Exponent. MODERN ECONOMY, 14(5), 616-628 [10.4236/me.2023.145034]. - view more
  • Anelli, M., Patane', M. (2023). The “Perpetually” Efficient Stock Market Nonsense: The Gaslighting Effects. JOURNAL OF FINANCE AND INVESTMENT ANALYSIS, 12(2), 1-10 [10.47260/jfia/1221]. - view more
  • Patane', M., Ceccherini, P., D’Imperio, A., Anelli, M. (2022). Stili di investimento tradizionali ed Esg: confronto empirico in termini di rischio/rendimento. BANCARIA, 100(3), 71-81. - view more