6
Publications
228
Citations
6
H-Index
2010
Active since
Roberto Marfè is an author at Collegio Carlo Alberto specializing in finance, business, and financial risk management.
Top concepts
FinanceBusinessAsset PricingRisk ManagementFinancial EconomicsVolatility ModelingFinancial Risk ManagementEconomicsInsuranceManagement
Publications per year
2010–2018
6
6
A generalized variance gamma process for financial applications
Roberto Marfè · Quantitative Finance · 2010 · 17 citations
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1–5 of 6