DUCCIO MARTELLI - University trading Challenge 2014

DUCCIO MARTELLI
University of Perugia, Faculty of Economics
Via Pascoli, 12 – 06123 Perugia (Italy)
Office: (+39)-075-585.5255
E-mail: [email protected] / [email protected]
Employment
University of Perugia, Faculty of Economics, Perugia (Italy)
Assistant Professor of Finance, September 2011 – Present
University of Applied Sciences (Augsburg, Germany)
Visiting Professor of Finance, October 2013 – Present
Education
University of Rome “Tor Vergata” (Rome, Italy), Ph.D. in Banking and Finance, June 2010
Harvard University (Cambridge, MA), Summer School, June-August 2008
Bocconi University (Milan, Italy), University of Rome “La Sapienza” (Rome, Italy) and Simest
SpA, Master in Financial Analysis, September 2004
Bocconi University (Milan, Italy), M.S., April 2003
Leonard N. Stern School of Business, New York University (NY), Study Tour, July 2002
Teaching Experience
University of Applied Sciences (Augsburg, Germany)
Behavioral finance (graduate): Fall 2013
Real estate finance (graduate): Fall 2013
Private banking (graduate): Fall 2013
Behavioral finance (seminars): May 2013
University of Perugia (Perugia, Italy)
Financial Markets and Institutions (undergraduate): Fall 2013
Corporate Finance (undergraduate): Fall 2011 (rating: 8.3/10), 2012 (rating: tba)
Enterprise Risk Management (graduate): Spring 2012 (rating: 8.5/10)
University of Perugia (Perugia, Italy) – Teaching Assistant
Corporate Finance (postgraduate): Spring 2010
Risk Management and Insurance (postgraduate): Spring 2010
University of Rome “Tor Vergata” (Rome, Italy) – Teaching Assistant
Duccio Martelli’s CV (February 1, 2014)
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Commercial Banking Management (undergraduate): Spring 2008, 2009
Derivative Instruments (postgraduate, in English): Fall 2007, 2008, 2009
Financial Markets and Institutions (undergraduate): Fall 2007, 2008, 2009
Portfolio Management (postgraduate): Fall 2006, 2007
Asset Management (postgraduate): Spring 2007, 2008
University of Enna “Kore” (Enna, Italy)
Financial Mathematics (postgraduate): Fall 2008
University of Teramo (Teramo, Italy)
Financial Markets (postgraduate): Fall 2007
University TEL.M.A (Rome, Italy)
Financial Markets and Institutions (undergraduate, online): 2007, 2008
Risk Management and Insurance (undergraduate, online): 2007, 2008
Asset Management (postgraduate, online): 2007, 2008
Publications
Aristei D. and Martelli D., “Sovereign bond yield spreads and market sentiment. Empirical
evidence from Euro countries”, under review
Burchi A. and Martelli D., “Herding Behavior in the Chinese Stock Market. A Comparative
Analysis with Other BRICS Countries”, under review
Fiordelisi F. and Martelli D., “Corporate culture and merger success in banking”, first submission
Martelli D., “Il rischio finanziario”, in Nadotti. L.L.M., “Il risk management nelle imprese
umbre”, forthcoming
Martelli D. (2013), “Comportamenti opportunistici nelle simulazioni di trading: un caso studio”, in
Nadotti L.L.M (a cura di), “Banche, mercati e territorio. Ricordando Sergio Corallini. Volume 2:
Borse e asset management”, Edizioni Nuova Prhomos, ISBN: 978-88-97-900-80-1
Martelli D. (2013), “Learning from experience or learning for convenience?”, Qualitative
Research in Financial Markets, Vol. 5, n. 3, p. 244-255, ISSN: 1755-4179
Carretta, A., Farina, V., Martelli, D., Fiordelisi, F. and Schwizer, P. (2011), “The Impact of
Corporate Governance Press News on Stock Market Returns”, European Financial Management,
vol. 17/1, p. 100-119, ISSN: 1354-7798
Fiordelisi, F. and Martelli, D. (2010), “The impact of corporate culture, efficiency and geographic
distance on M&A results: the European case”, in Fiordelisi, F., Molyneux, P. and Previati, D.
(eds), New Issues in Financial Markets and Institutions Management, Palgrave Macmillan, U.K.,
p. 139-152, ISBN 9780230278103
Duccio Martelli’s CV (February 1, 2014)
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Martelli D. (2010), “Il ruolo chiave della cultura aziendale nei processi di fusione di grandi
banche”, in Bancaria, vol. 7/8, p. 56-63, ISSN: 0005-4623
Carretta, A., Farina, V., Fiordelisi, F., Martelli D., Schwizer, P. and Soana, M.G. (2009),
“L’impatto delle notizie di corporate governance sulla performance delle società quotate”, in
Maggioli, V., Potito, L. e Viganò, R. (eds), Corporate governance: governo, controllo e struttura
finanziaria, XXXI AIDEA (Italian Academy of Business Administration and Management)
Meeting, Napoli (Italy), October, 16-17, 2008, Il Mulino, Bologna, p. 447-457, ISBN:
8815132945
Carretta, A., Farina, V., Fiordelisi, F., Martelli, D., Schwizer, P. and Soana, M.G. (2008),
“Corporate governance e performance delle società quotate: il ruolo delle notizie diffuse dai
media”. Banca, Impresa e Società, Il Mulino, Bologna (Italy), Anno XXVII, numero 3 (December
2008), p. 359-388, ISSN: 1120-9453
Carretta A., Fiordelisi F., Caratelli M. and Martelli D. (2008). “La mia banca è differente!
Performance e determinanti del localismo bancario”, in Bracchi G., Masciandaro D. (eds), XIII
Rapporto sul Sistema Finanziario Italiano “Banche italiane e governo dei rischi, Imprese, famiglie,
regole.”, Edibank-Bancaria Editrice, Milano (Italy), p. 95-129, ISBN: 8844904667
Carretta A., Farina V., Fiordelisi F., Martelli D. e Schwizer P. (2008), The Role of Corporate
Governance News: Evidence from Italy, working paper available at SSRN:
http://ssrn.com/abstract=1343631
Working papers
Investors’ attention and merger success in banking (with Franco Fiordelisi and Vincenzo Farina)
Corporate culture and merger results in banking (with Franco Fiordelisi)
Conferences and Presentations
Aristei, D. and Martelli, D. (2013), “Sovereign bond yield spreads and market sentiment.
Empirical evidence from Euro countries”, Behavioural Finance Working Group Conference,
London (UK), December 16-17, 2013
Martelli, D. and Burchi, A. (2013), “Herding Behavior in the Chinese Stock Market. A
Comparative Analysis with Other BRICS”, World Finance & Banking Symposium, Beijing
(China), December 16-17, 2013
Martelli, D. (2013), author and chair of the Special Session “Do Trading Simulations Really Help
Students to Improve Their Financial Knowledge?”, Fifth Annual Meeting of the Academy of
Behavioral Finance & Economics, Chicago (USA), September 17-20, 2013
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Martelli, D. and Burchi, A. (2013), “Herding Behavior in the Chinese Stock Market. A
Comparative Analysis with Other BRICS”, ADEIMF Annual Conference, Lecce (Italy),
September 20-21, 2013
Martelli, D. (2012), “Going for broke! Opportunistic behaviors in trading simulations”, Fourth
Annual Meeting of the Academy of Behavioral Finance & Economics, New York City (USA),
September 18-21, 2012
Fiordelisi, F. and Martelli, D. (2012), “Corporate culture and merger success in banking”, 74th
Annual Meeting of the German Academic Association for Business Research (VHB), Bolzano
(Italy), May 30 – June 2, 2012
Gallo M., Martelli D. and Vannoni V, “I canali di distribuzione dei servizi bancari per le imprese”,
XXXIV Annual Conference AIDEA (Italian Academy of Business Administration and
Management), Perugia (Italy), October 13-14, 2011
Fiordelisi F. and Martelli D., “Corporate culture and merger results in banking”, 2011 IFABS
Annual Conference, Rome (Italy), June 29 – July 2, 2011
Martelli D., “Learning from experience or learning for convenience?”, Banca, Mercati e Territorio
Conference, Terni (Italy), May 10, 2011
Fiordelisi, F. and Martelli, D. (2010), “Corporate Culture and M&A Results in the European
Banking”, 2010 FMA Annual Meeting, New York City, NY (USA), October 20-23, 2010
Fiordelisi, F. and Martelli, D. (2010), “Corporate Culture and M&A results in the European
banking”, International Conference on "Global Trends in the Efficiency and Risk Management of
Financial Services", Chania (Greece), July 2-4, 2010
Giannotti, C., Martelli, D. and Pischedda L. (2010), “The Analysis Of Tenant Risk In The Italian
Real Estate Market”, ERES - European Real Estate Society, 17th Annual European Real Estate
Society Conference 2008, Milano (Italy), June 23-26, 2010
Gallo M., Martelli D. and Vannoni V, “La crisi finanziaria e la liquidità nei bilanci delle banche
italiane”, ADEIMF Annual Conference, June 18-19, 2010
Fiordelisi, F. and Martelli, D. (2009), “The impact of corporate culture, efficiency and geographic
distance on M&A results: the European case”, 2009 European Association of University Teachers
of Banking and Finance “Wolpertinger” Annual Conference, Roma (Italy), September 2-5, 2009
Carretta, A., Farina, V., Fiordelisi, F., Martelli D. and Schwizer, P. (2009). “The impact of
corporate governance press news on stock market returns”, 2009 EFMA Conference, Milano
(Italy), June 24-27, 2009
Carretta, A., Farina, V., Fiordelisi, F., Martelli D., Schwizer, P. and Soana, M.G. (2008),
“Corporate governance e performance delle società quotate: il ruolo delle notizie diffuse dai
Duccio Martelli’s CV (February 1, 2014)
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media”, XXXI AIDEA (Italian Academy of Business Administration and Management) Meeting,
Napoli (Italia), October 16-17, 2008
Giannotti, C., Manstretta, D., and Martelli, D. (2008), “Tenant risk in the Italian real estate funds:
analysis and communication”, ERES - European Real Estate Society, 15th Annual European Real
Estate Society Conference 2008, Krakow (Poland), June, 18-21, 2008
Professional Activities
Member of the following Organizational Committees:
- International Finance and Banking Society, IFABS (Rome, Italy): 2011
- “Banca, Mercati e Territorio” (Terni, Italy): 2011
- European Association of University Teachers of Banking and Finance (Rome, Italy): 2009
Member of the Italian Association of University Teachers of Banking and Finance (ADEIMF)
Member of the organizational committee of “University trading challenge”, the first online trading
game with real money reserved to European undergraduate and graduate students and sponsored
by a primary online broker
Consulting activity and professional training on the following areas: behavioral finance, asset
allocation, private banking and real estate finance
Honors and Awards
University of Perugia, Annual Research Support, 2010 and 2011
University of Rome “Tor Vergata”, Fellowship for Doctoral Studies, 2006-2010
Simest SpA, Fellowship for the Master in Financial Analysis, September 2003-2004
Non-Academic Experience
Accenture, Rome (Italy)
Strategy consultant, September 2004 – September 2006
Cimentas, Izmir (Turkey)
Financial Analyst (internship), June-August 2006
Simest SpA, Rome (Italy)
Business Analyst, September 2003 – September 2004
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Twice Sim SpA, Milan (Italy)
Trader and asset manager, November 2002 – August 2003
Financial Advisors SpA, Milan (Italy)
Stock market analyst and journalist, May-November 2002
Media Citations / Tv interviews
2014: Class CNBC (Jan 27)
2013: Class CNBC (May 20, October 29)
2012: Class CNBC (July 9, 18)
2011: Class CNBC (February 28, May 16, July 11)
2010: Il Sole 24 Ore (April 9); Rai Radio 1 (November 2); Class CNBC (November 11)
Other personal information
Interests: former professional basketball player, golf, kendo (Japanese sword) and travelling.
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