David Moreno
David Moreno is an Associate Professor of Finance in the Department of Business Administration at the University Carlos III. He holds a PhD. in Economics and a B.A. degree in Economics from the University of Alcala (Madrid, Spain). He grew up in Tarancon, a small and lovely city in Cuenca. He teaches Financial Management and Financial Economics to undergraduates and graduates; and Portfolio Theory and Fixed Income Assets to Masters students. David’s research interests center on Mutual Funds Performance Evaluation, new portfolio theories (based on downside risk measures) and computational finance. | Teaching in the Master in Finance |