Enrico Moretto
Enrico Moretto earned a PhD in Mathematics for Financial Market Analysis (Università di Brescia) in 1998. In 1999 he became a researcher in mathematical finance. Enrico works on derivative pricing, corporate governance and stochastic dividend models
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Articles by Enrico Moretto
Managing adverse temperature conditions through hybrid financial instruments
This paper proposes temperature-based risk management using hybrid financial instruments built on weather derivatives.