Marco Navone is senior lecturer in the Finance Discipline Group of UTS Business School - University of Technology, Sydney and research fellow at CAREFIN, the Center for Applied Research in Finance at Bocconi University (Milan, Italy).
His main areas of interest are: Corporate Finance, Mutual Funds, Quantitative Equity Portfolio Management and Financial Analysts
Experience
2011–present
Senior Lecturer in Finance, University of Technology, Sydney
2006–present
Research Fellow, CAREFIN - Center for Applied Research in Finance at Bocconi University
2004–2011
Assistant Professor in Finance, Bocconi University, Milan - Italy
Education
2003
Bocconi University, Milan Italy, Ph.D. In Management
Publications
2013
The Power of Dynamic Asset Allocation , Journal of Portfolio Management
2012
Investors’ distraction and strategic repricing decisions, Journal of Banking and Finance
2012
The Cross-section of Mutual Fund Fees dispersion , Journal of Banking and Finance
2012
The Determinants of the Convexity in the Flow-Performance Relationship , Journal of Index Investing
2010
The Choice of Target’s Advisor in Mergers and Acquisitions: the Role of Banking Relationship , European Financial Management
2010
Mutual Funds Incentive Fees. Determinants and Effects, Financial Management
2008
Which factors affect bond underwriting fees? The role of banking relationships , European Financial Management